OTC: PCMC
Free 30 minute go public consultation
  
Home PCMC 30 About Us Experience Three Pillars Investor Relations

Experience



Board of Advisers

Stephen A. Boyko
Mr. Boyko is President of Global Market Thoughtware, Inc., an international consulting company specializing in global markets and governance regimes. Drawing upon his thirty years of business, investment, and financial experience, he founded the Entrepreneurial Exchange to create value for small-to-medium enterprises (SMEs) through proportionate governance and scalable sponsorship. Upon receiving his MBA, Mr. Boyko helped formulate securities regulatory policy for the National Association of Securities Dealers, Inc. ("NASD") and thereafter spent a successful career in the securities industry as a registered managing principal (Series 24) and a financial and operational principal (Series 27). As an international consultant, he provided a practitioner's perspective for the privatization of the former Soviet Union in the areas of corporate governance and development of the Ukrainian Capital Market. He has taught finance and entrepreneurship at the American University's MBA program and serves on the Advisory Boards of Yorktown University and Banneker Asset Management.


Steven Chaussy, C.P.A.
Mr. Chaussy is a results-oriented professional with more than 25 years of progressive experience. He has a special emphasis in SEC reporting and compliance with developing and small publicly traded entities. Mr. Chaussy also has experience in structuring and sourcing corporate financing needs. He is effective in public, investor, regulatory and creditor interface, and is an accomplished leader with mult-location financial management. Mr. Chaussy is known as a team builder with expertise in high-paced, mult-task environments.

View Mr. Chaussy's complete Curriculum Vitae (in PDF format)


Peter J. Chepucavage
Peter served three plus years as Attorney Fellow for the Securities and Exchange Commission in Washington D.C., where he worked primarily in the business continuity and Reg SHO areas. He was involved in the drafting of Reg SHO and the married puts release. Peter was also involved in numerous Reg M enforcement cases and securities futures.

Prior to that Peter served as Counsel at Fulbright & Jaworski in New York City. The practice was devoted primarily to the representation of broker-dealers and investment advisers in both law and compliance, including derivatives. Fulbright & Jaworski's Financial Institutions Practice Group in New York provides a broad range of services with an emphasis on representation of foreign and domestic broker-dealers, investment advisers and investment companies. The office regularly counsels a dozen broker-dealers including specialists, day trading firms, clearing firms, a stock exchange and at least 15 investment advisory firms, six registered investment companies and over 25 domestic and offshore private investment funds.

View Mr. Chepucavage's complete Curriculum Vitae (in PDF format)


Gary N. Clark, Ph.D., CFA
Gary has over 15 years of porfolio management and securities research experience at Clark Asset Management + Associates, Inc. and has held numberous teaching positions during that time. Prior to Clark Asset Management, Gary served in various capacities for numerous securities firms and as an independent contract analyst.

View Mr. Clark's complete Curriculum Vitae (in PDF format)


William Bradford "Brad" Smith II
William Bradford "Brad" Smith II has served as an adviser to Stephen Brock since 2002 and chairs Public Company Management Corporation's Advisory Board.

Brad has more than 20 years experience as a capital market practitioner and financial service company officer, director or adviser.

Since July 1991, Brad has operated WBS&A Ltd., a management consulting firm that helps companies develop and execute business and capital market strategies. Smith's scope of work encompasses developing secondary market support for emerging public companies, helping entry-level, development-stage issuers undertake SEC registered offerings, working with company owners to maximize the value of their business assets and serving as an intermediary to facilitate transactions.

From 1979 to 1981, Brad founded Marshall Homes as a Johnstown holding and sales company that converted company owned apartment properties into condominiums. And, from 1975 to 1979 Brad served as Vice President of Acquisitions and Sales for Johnstown Properties where he was responsible for acquiring and selling investment properties for the nations then 5th largest REIT. From 1981 to 1988, Smith managed personal investments and consulted with entities that specialized in capitalizing emerging companies. From 1988 to July 1991, Smith was vice president of Valley Federal Savings and Loan's portfolio company division and its acquirer and successor entity Relco Industries, where he operated an asset management division that supported the capital reserve base for Relco's Surety Bond insurance company.

Previously Brad served on a NASDAQ Advisory Committee, founded the Small Corporate Offering Registration Task Force and was an advisor to the Texas Delegation to the 1995 White House Conference on Small Business. Smith regularly attends and makes recommendations to the annual SEC Government-Business Forum on Small Business Capital Formation and actively advocates developing a better securities regulatory regime for entry-level, development stage issuers. Brad has organized, sponsored or addressed numerous capital formation conferences and is the author of "Guide to Strategic Thinking." Mr. Smith received an MBA from Pepperdine University in1979 and a BBA from the University of Oklahoma in 1975.




<< back