Previously the General Counsel and Chief Compliance Officer for a multinational cannabis company, Zack Kobrin's practice focuses on cannabis and hemp law. In his prior capacity, Zack was responsible for all corporate and regulatory legal matters, including transactional, banking, and insurance matters; as well as ensuring compliance with federal, state, and local government regulations. Zack was also a key member of the team that helped take his former company public on the Canadian Securities Exchange.
Zack’s practice involves advising clients on the evolving, complex legal and business issues impacting companies with interests in this heavily regulated industry. He speaks frequently at business, legal, and industry events and advises a number of entities on areas such as business development and formation, as well as legal and regulatory and compliance issues in the cannabis and hemp industry throughout the United States, and emerging international markets. Zack also advises clients on developing federal and state public policy matters and banking and insurance issues impacting clients in the cannabis and hemp industry.
Zack also has experience with corporate, real estate, and regulatory legal matters, including overseeing transactional, banking, and insurance matters; as well as ensuring compliance with federal, state, and local government regulations. In addition, he has experience with commercial litigation, corporate transactions/M&A, condominium/homeowners’ association, land use, governmental liability, trademark registration and disputes, and extra contractual liability.