Regulatory Compliance Including FAA, DOT and SEC PlanningOne key aspect of owning and operating a business aircraft is ensuring compliance with all applicable governmental regulatory requirements, including those of the Federal Aviation Administration (FAA), U.S. Department of Transportation (DOT), U.S. Securities and Exchange Commission (SEC), U.S. Federal Election Commission (FEC), U.S. Department of Homeland Security, U.S. Customs and Border Protection (CBP), state government counterparts to these Federal governmental authorities, and the International Registry of Mobile Assets. GKG Law’s Business Aviation Group is well versed in all of the regulatory requirements applicable to business aircraft ownership and operations, and can provide valuable guidance to owners and operators regarding compliance with these complex and often-contradictory requirements. We address all facets of regulatory compliance issues, including:
Without the assistance of an experienced and knowledgeable advisor, it is very difficult to be certain that you have correctly followed the byzantine maze of regulatory requirements that apply to business aircraft ownership and operations. In addition, the requirements of many of these rules are often counterintuitive and sometimes conflict with one another. Ultimately, failure to properly follow all rules can result in legally and financially catastrophic consequences. At GKG Law, our deep knowledge and broad experience in the area of the regulation of business aircraft ownership and operations enables us to provide clients with the comfort of knowing that these issues are properly addressed. We go above and beyond to ensure full compliance with the legal rules related to the ownership and operation of our clients’ aircraft.
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