Mildred Quinones-Holmes

Partner

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T(212) 554-7844

F(917) 206-4344

Mildred Quinones-Holmes is a partner in the Corporate Trust practice, serving domestic and international financial institutions in their capacity as indenture trustees, collateral and security agents, fiscal and paying agents, co-issuers of structured or securitized products, securities intermediaries and custodians, administrative agents and escrow agents.  

Mildred has an extensive background in corporate trust as a former partner at a major law firm’s Commercial & Public Finance Group and as managing counsel for the global agency and trust business at Bank of New York and Citibank. In these positions she focused on matters related to defaulted debt, structured finance, CDO’s, corporate finance, international finance, project finance, conventional debt and escrow product lines. 

Her recent experience in capital markets includes assisting the first non-bank in establishing a depositary receipt business from the ground up. This included: drafting compliance policies to reflect the requirements contained in the '34 Act exemption for foreign issuers on a country by country basis; developing standard filing forms including F-6 and accompanying opinions; developing acceptable forms of broker dealer agreements intended to cover the prerelease of depositary receipts; working with internal counsel to establish custodial relationships in the intended local markets; in general, reviewing all end to end processes and procedures. She also assisted in the successful business case presentation to the Office of International Corporate Finance of the SEC.

 

Biography

Mildred Quinones-Holmes is a partner in the Corporate Trust practice, serving domestic and international financial institutions in their capacity as indenture trustees, collateral and security agents, fiscal and paying agents, co-issuers of structured or securitized products, securities intermediaries and custodians, administrative agents and escrow agents.  

Mildred has an extensive background in corporate trust as a former partner at a major law firm’s Commercial & Public Finance Group and as managing counsel for the global agency and trust business at Bank of New York and Citibank. In these positions she focused on matters related to defaulted debt, structured finance, CDO’s, corporate finance, international finance, project finance, conventional debt and escrow product lines. 

Her recent experience in capital markets includes assisting the first non-bank in establishing a depositary receipt business from the ground up. This included: drafting compliance policies to reflect the requirements contained in the '34 Act exemption for foreign issuers on a country by country basis; developing standard filing forms including F-6 and accompanying opinions; developing acceptable forms of broker dealer agreements intended to cover the prerelease of depositary receipts; working with internal counsel to establish custodial relationships in the intended local markets; in general, reviewing all end to end processes and procedures. She also assisted in the successful business case presentation to the Office of International Corporate Finance of the SEC.

 

Education
  • Boston College Law School (J.D.)
  • Yale University (B.S.)