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June is a member of the Business Services Department. Her practice focuses on U.S. and state securities laws compliance, Sarbanes-Oxley Act and corporate governance issues, and financial institution regulatory matters. She advises clients with respect to private and public securities offerings, compliance with securities laws and regulations, preparation of securities law reports and filings, corporate governance compliance programs and issues, document retention programs, financial institution regulatory issues, and financial institution mergers and acquisitions.

Career Highlights


  • The Best Lawyers in America® Louisville Securities/Capital Markets Law "Lawyer of the Year", 2018, 2020
  • Named to Louisville Magazine “Top Lawyers” List in the area of Banking Law, 2016
  • Selected for inclusion in the 2013 edition of the Martindale-Hubbell® Bar Register of Preeminent Women Lawyers™
  • Selected for inclusion in The Best Lawyers in America®, 2006-2020, in the fields of Banking and Finance Law, Corporate Compliance Law, Corporate Governance Law, Corporate Law, Mergers and Acquisitions Law, Securities/Capital Markets Law, Securities Regulation 
  • Listed in Chambers USA: America's Leading Lawyers for Business in the area of Corporate/M&A - Kentucky, 2004-2011
  • Leadership Louisville, Class of 1993
  • Bingham Fellowship, 1997
  • Phi Beta Kappa
  • Notes Editor, University of Kentucky Law Journal, 1978-1979
  • Order of the Coif


Professional Affiliations

  • Kentucky Bar Association
  • Louisville Bar Association
  • National Association of Stock Plan Professionals

Community Involvement

Professional Leadership

  • Represents companies in connection with public and private offerings, securities law compliance, going private transactions, corporate governance compliance programs and issues, document retention programs and Sarbanes-Oxley Act compliance
  • Represents financial institutions in connection with organization, mergers, acquisitions, reorganization/capitalization, common and collective investment funds, and compliance
  • Former Assistant General Counsel at Vencor, Inc.
  • Responsibilities with respect to public offerings, SEC reporting, Hilhaven acquisition, issuer tender offer, stock repurchase program, Board and stockholder meetings, stock transfer issues and stock plan administration


Contributions & Published Works

  • "SEC Guidance on Use of Websites, Emails and Blogs," 15th Biennial Midwest/Midsouth Securities Law Conference
  • Co-Author, "Three Things Financial Institutions Should Remember About Minimizing Risks from Identity Theft," Business First
  • Co-Editor, "Financing Start-Ups"
  • "Ethical and Practical Concerns in Attempts to Impose Contractual Limits on Attorney Liability," Midwest/ Midsouth Securities Law Conference
  • "Public Announcements and Shareholder Communications," Midwest/Midsouth Securities Law Conference
  • "Time to Adopt or Revise Your Document Retention Program to Address Electronically Stored Information," In-House Seminars
  • Panelist at Corporate Management Solutions User Conference
  • "Gramm Leach Bliley Act Compliance," Privacy Law Seminar
  • "Recent Developments Under the Gramm Leach Bliley Act and the USA Patriot Act," Systems Design Group Seminar





University of Kentucky, B.M., 1975
University of Kentucky, J.D., 1979

  • Kentucky, 1979
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