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Filing tables
Filing exhibits
- S-4 Registration of securities issued in business combination transactions
- 2.1 Agreement and Plan of Merger, Dated As of August 27, 2012, by and Among First Community Financial Partners, Inc., Interim First Community Bank of Plainfield and First Community Bank of Plainfield
- 2.2 Agreement and Plan of Merger, Dated As of August 27, 2012, by and Among First Community Financial Partners, Inc., First Community Bank of Joliet and First Community Bank of Homer Glen & Lockport
- 2.3 Agreement and Plan of Merger, Dated As of August 27, 2012, by and Among First Community Financial Partners, Inc., First Community Bank of Joliet and Burr Ridge Bank and Trust (Included As Annex I to the Proxy Statement/prospectus That Is a Part of This Re
- 2.4 Agreement and Plan of Merger, Dated As of August 27, 2012, by and Between First Community Bank of Joliet and First Community Bank of Plainfield
- 3.1 Articles of Incorporation, As Amended
- 3.2 Amended and Restated Bylaws
- 4.1 Specimen of Common Stock Certificate
- 4.2 Specimen of Preferred Stock Certificate
- 5.1 Opinion of Schiff Hardin LLP, Regarding the Legality of the Securities Being Issued
- 8.1 Opinion of Vedder Price P.C., Regarding Certain Tax Matters
- 10.1 Letter Agreement, Dated December 9, 2009, Between First Community Financial Partners, Inc. and the United States Department of the Treasury, Which Includes the Securities Purchase Agreement-standard Terms Attached As Exhibit a Thereto, with Respect to the
- 10.2 Voting Trust Agreement by and Among First Community Financial Partners, Inc., the Grantors and Trustees Named Therein, and First Community Bank of Plainfield, Dated As of November 18, 2008
- 10.3 Voting Trust Agreement by and Among First Community Financial Partners, Inc., the Grantors and Trustees Named Therein, and First Community Bank of Homer Glen & Lockport, Dated As of December 17, 2008
- 10.4 Voting Trust Agreement by and Among First Community Financial Partners, Inc., the Grantors and Trustees Named Therein, and Burr Ridge Bank and Trust, Dated As of June 19, 2011
- 10.5 Employment Agreement, Dated As of December 20, 2011, Between First Community Bank of Plainfield and Donn P. Domico
- 10.6 First Modification to Employment Agreement, Dated As of August 20, 2012, Between First Community Bank of Plainfield and Donn P. Domico
- 10.7 Employment Agreement, Dated As of April 13, 2009, Between Burr Ridge Bank and Trust and Roy C. Thygesen
- 10.8 First Modification to Employment Agreement, Dated As of May 18, 2010, Between Burr Ridge Bank and Trust and Roy C. Thygesen
- 10.9 Second Modification to Employment Agreement, Dated As of December 13, 2011, Between Burr Ridge Bank and Trust and Roy C. Thygesen
- 10.10 Employment Agreement, Dated As of September 27, 2010, Between First Community Bank of Homer Glen & Lockport and Patrick J. Roe
- 10.11 First Community Financial Partners, Inc. Amended and Restated 2008 Equity Incentive Plan
- 10.12 First Community Financial Partners, Inc. First Amendment of the Amended and Restated 2008 Equity Incentive Plan
- 10.13 Form of First Community Financial Partners, Inc. Amended and Restated 2008 Equity Incentive Plan Restricted Stock Unit Award Agreement
- 10.14 Form of First Community Financial Partners, Inc. Amended and Restated 2008 Equity Incentive Plan Incentive Stock Option Award Terms
- 10.15 Form of First Community Financial Partners, Inc. Amended and Restated 2008 Equity Incentive Plan Non-qualified Stock Option Award Terms
- 21.1 Subsidiaries of First Community Financial Partners, Inc.
- 23.1 Consent of Mcgladrey LLP
- 99.1 Form of Proxy Card for Burr Ridge Bank and Trust
- 99.2 Consent of Monroe Securities, Inc.
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Consent of Monroe Securities, Inc.
We hereby consent to the inclusion in the Registration Statement on Form S-4 of First Community Financial Partners, Inc. (“FCFP”) and in the joint Proxy Statement/Prospectus of FCFP and Burr Ridge Bank and Trust Company (the “Bank”) which is a part of the Registration Statement filed with the Securities and Exchange Commission on November 5, 2012 of our opinion letter, dated August 27, 2012, to the Board of Directors of the Bank which appears as Annex II to such joint Proxy Statement/Prospectus, and to the description of such opinion and to the references to our name therein under the headings “Questions and Answers About the Merger and the Bank Special Meeting,” “Summary – Opinion of Monroe Securities,” “The Merger – Background of the Merger,” and “The Merger – Opinion of Financial Advisor to the Bank.”
In giving the foregoing consent, we do not admit (1) that we come within the category of persons whose consent is required under Section 7 of the Securities Act of 1933, as amended (the “Securities Act”), or the rules and regulations of the Securities and Exchange Commission (the “Commission”) promulgated thereunder, or (2) that we are experts with respect to any part of the Registration Statement within the meaning of the term “experts” as used in the Securities Act and the rules and regulations of the Commission promulgated thereunder.
MONROE SECURITIES, INC. | ||
By: | /s/ Monroe Securities, Inc. | |
Chicago, Illinois
November 5, 2012