Lawyer Image

Thomas C. Blank

Partner, Management Committee Member
1000 Jackson Street
Toledo, OH 43604
Direct419.321.1394
Fax419.241.6894
tblank@slk-law.com

Assistant

Peggy Moore
Direct419.321.1346
pmoore @slk-law.com

Thomas C. Blank is a member of the firm's Management Committee.  Tom's practice has been fully committed to serving financial institutions for over 25 years.

Tom has extensive experience in the organization and ongoing representation of banks, bank holding companies, stand-alone trust companies and other financial institutions.  He regularly assists community banking organizations with merger and acquisition matters including purchase and sale of entire institutions, subsidiaries and branches. 

Tom represents financial institutions in both public securities offerings and private placements and provides ongoing counsel regarding reporting obligations under the Securities Exchange Act of 1934.  As a part of his practice, Tom routinely interacts with both federal and state banking and securities agencies on a wide variety of regulatory issues, including enforcement actions and agreements.  He also assists his financial institution clients with general corporate matters.  Tom brings a positive, "can-do" attitude to complex issues and addresses them in an efficient, cost effective manner.

Tom was a founding member of and continues to serves as General Counsel and Secretary to the Association of Trust Organizations (f.k.a. Association of Independent Trust Companies, Inc.), a trade association of trust organizations including non-depository trust companies.

Representative Matters

  • Advise Boards of Directors and management of financial institutions regarding requirements/implications of the Dodd-Frank Act and resultant regulations.
  • Assist public companies with their reporting obligations under the Securities Exchange Act of 1934, including annual, quarterly and periodic reports and proxy materials.
  • Counsel to Boards of Directors in connection with imposition of and compliance with regulatory enforcement actions, including memoranda of understanding, consent orders and written agreements.
  • Assisted financial institutions in registration with the SEC of securities for public distribution and private placements of multiple types of securities including common and preferred stock, subordinated debentures and convertible instruments.
  • Counsel to bank holding companies in connection with the sale of preferred securities to the U.S. Department of the Treasury under the TARP Capital Purchase Program.
  • Assisting clients in participation in the Small Business Lending Fund (“SBLF”).
  • Represented $200M publicly held community bank holding company in its affiliation with a bank holding company owned by a mutual insurance company.
  • Represented $1B asset Alabama financial holding company in acquisition of $100M community bank, and in acquisition of billing services company.
  • Represented $1.3B Indiana financial holding company in the acquisition of $50M and $200M community banks.
  • Assisted $900M Ohio bank holding company in acquisition of $50M Indiana community bank and branches of another Ohio-based thrift holding company.
  • Represented $675M Ohio bank holding company in the acquisition of $50M community bank and multiple branches from regional bank holding company.
  • Represented multiple national and state banks in bank holding company reorganizations and election to be taxed under Subchapter S of the Internal Revenue Code.
  • Represented $300M financial institution in creation and sale of complex convertible securities.
  • Assisted multifaceted financial institution with the acquisition of a Tennessee-chartered trust company.
  • Assisted nationally-chartered trust company in acquisition of trust business from a Pennsylvania chartered bank.
  • Represented multiple public and private financial institutions in rebuffing undesired acquisitions and proxy fights.
  • Have represented over 20 financial institutions, brokers, RIAs and other entities and groups in the organization of non-depository trust companies.
  • Represented underwriter in public offering of $30M of common stock for a public, Ohio based financial institution.
  • Represented $2B Iowa based financial institution in registered $30M common stock offering.

Honors

  • Best Lawyers in America, 2009 - 2017
  • Best Lawyers "Toledo Banking and Finance Law Lawyer of the Year," 2014, 2009
  • Best Lawyers "Toledo Mergers & Acquisitions Law Lawyer of the Year," 2013
  • AV® Peer Review Rated by Martindale-Hubbell

Professional and Community Affiliations

  • Toledo Bar Association
  • Ohio State Bar Association
  • American Bar Association
  • Association of Trust Organizations (f/k/a Association of Independent Trust Companies, Inc.), General Counsel and Secretary, 1989-present, Board of Directors, 1989-1992
  • Erie Shores Council, Boy Scouts of America, Board of Directors, 1998-present, member of the Executive Committee, 2002-2007, Silver Beaver Award recipient, presented by Erie Shores counsel of the Boys Scouts, 2004
  • Sylvania Historical Village, Inc., Board of Trustees, 2011-Present, President

Alternate biographies

Industries


Assistant


Education

  • J.D., Case Western Reserve University, 1981
  • A.B., Miami University, 1978

Bar and Court Admissions

  • Ohio, 1981

Languages


Advisors


TCB MH 2016
Blank_Best_Lawyers