John Bautista
Managing Director @UHY-US
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WORK HISTORY
Managing Director @UHY-US
New York, NY, US
Over 25 years of experience in finance and strategy, predominantly in client service with an emphasis on valuation of businesses, business interests, securities, and intangible assets for transaction, tax, financial reporting, and other strategic purposes- Extensive experience in transaction advisory services associated with M&A (e.g, fairness opinions and purchase price allocations), carve-outs and divestitures, private equity, and restructuring transactionsUHY LLP, certified public accountants, and UHY Advisors, Inc. work together in an alternative practice structure, to provide comprehensive audit, tax, advisory and related services to clients in a wide range of industries. We serve companies ranging from mid-sized to the Fortune 500, throughout the United States and around the globe. We have offices across the US and, as a founder and independent member of UHY International, we have access to international resources in nearly 320 business centers and nearly 100 countries. Our firm’s commitment to client service is personable, value-added and cost-effective. Our goal is to exceed your expectations on every engagement. We share our clients’ vision to improve profitability, enhance growth, avoid financial pitfalls, minimize taxes and preserve wealth. It’s a philosophy we call “The Next Level of Service”.
EDUCATION
Columbia Business School
MBA, Business Administration
University of Southern California
BS, Business Administration (Emphasis in Finance)
SKILLS
ABOUT JOHN BAUTISTA
John Bautista is a Managing Director in the New York office of UHY Advisors and is actively involved in business valuation and other financial advisory matters. He holds the professional designation of Accredited Senior Appraiser (ASA) with the American Society of Appraisers, is a member of Beta Gamma Sigma National Honor Society, and is a candidate for the Level Chartered Financial Analyst designation of the CFA Institute. He passed the Series 7, 63, and 79 General Securities Representative Examinations administered by the Financial Industry Regulatory Authority.
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