Tawnya M. Bell
Transitioning a distinguished 25-year career in international business and finance into the practice of law, Tawnya’s unique blend of corporate insight, international business proficiency, and sophisticated legal acumen position her as a trusted advisor and relentless advocate for clients navigating complex legal disputes in both domestic and cross-border matters. Fluent in Spanish and English, Tawnya excels in navigating numerous legal landscapes including international trade controversies, white collar criminal matters, corporate governance, and compliance matters involving the SEC, FTC, International Trade Treaties, and violations of the FCPA. Tawnya has assisted a diverse range of businesses, catering to mid-sized, privately held and publicly traded enterprises spanning various industry sectors, such as industrial, manufacturing, distribution, energy, media, technology, and medical services industries.
Tawnya’s multifaceted professional journey is underscored by her unique position on numerous sides of the business spectrum. Prior to embarking on her legal career, and while residing in Latin America, Tawnya founded and managed USAMEX Trading Corporation, a global import-exporter of industrial coatings and sealants. She possesses an intimate understanding of the cultural and commercial intricacies inherent in advising multinational enterprises. In addition to her corporate experience, Tawnya was a Charter Member of PRIMA (A Latin American Association of Professional Women) and adjunct professor at ITSEM (a premier private university in Mexico). This overseas experience equips Tawnya with a profound awareness of the challenges and opportunities faced by businesses in the global legal arena.
Upon returning to the United States, Tawnya assumed leadership roles at prominent financial institutions, including The Royal Bank of Scotland and Wells Fargo Bank. As a Senior Vice President, she focused on global industrial and manufacturing companies, venture capital funds, and private equity relationships for mergers and acquisitions. Her responsibilities included managing FINRA regulation compliance, overseeing non-disclosure agreement negotiations, financing agreements, employee stock option investment, and debt restructurings.
Beyond her legal practice, Tawnya shares her expertise by instructing financial literacy programs for local nonprofits and sits on the Advisory Board of The Financial Integrity Institute. Tawnya is former President of the Corporate Finance and Law Alliance, Board Member of PECFOA (Private Equity Chief Financial Officer Association), and a Certified Mediator by NACM (National Association of Certified Mediators).