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Brian Koscak
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Brian Koscak
President and General Counsel, Pinnacle Wealth Brokers

Email: brian.koscak@pcmacanada.com
Telephone: 1.877.363.3632

Blog: www.briankoscak.ca

www.pinnaclewealth.ca


Brian Koscak is the President and General Counsel of Pinnacle Wealth Brokers Inc. Brian is also a Director and member of Pinnacles’ Executive Compliance Committee. Brian is licensed to practice law in the Provinces of Alberta and Ontario.

 

Brian is a member of the Ontario Securities Commission’s Exempt Market Advisory Committee and the Alberta Securities Commission’s Exempt Market Dealer Advisory Committee. Brian is also the Vice Chair (and former Chair) of the Private Capital Markets Association of Canada. Brian was previously employed as a Judicial Administrator with the Manitoba Department of Justice and as an executive with an insurance brokerage firm located in Toronto, Ontario.

 

Brian has obtained his Masters of Law in Securities from Osgoode Hall Law School, a LL.B. from the University of Windsor School of Law, a Juris Doctor from the University of Detroit Mercy School of Law and a Masters of Arts for Judicial Administration and a Bachelor of Arts (Honors) in Public Administration from Brock University. Brian also obtained his Chartered Insurance Professional designation from the Insurance Institute of Canada and was formerly licensed as a life and accident & sickness insurance agent and a registered insurance broker of Ontario.

 

Brian has spoken as spoken at many conferences, written many comment letters on behalf of the PCMA and published numerous articles involving corporate and securities law matters.

 

Publications

Please visit Brian's Blog for more articles: www.briankoscak.com


Selling to Accredited Investor – You Better Get It Right!

EMDs and Conflicts of Interest Related and Connected Issuer Disclosure

CSA Provides Guidance for Preparing and Filing an Offering Memorandum Under NI 45-106

CSA Staff Notice 45-308 – Guidance for Preparing and Filing Reports of Exempt Distributions Under NI 45-106

British Columbia Regulatory Updates

Compliance with the Accredited Investor Exemption - A Nine-Point Plan for EMDs

Exempt Market Dealers and Broker Warrant Compensation

Legal