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Rob is an expert on all aspects of the Department of Health and Human Services (HHS) Office of Inspector General (OIG) administrative remedies and initiatives, including mandatory and permissive exclusion authorities, the Civil Monetary Penalties Law, the Emergency Medical Treatment and Labor Act (EMTALA), corporate integrity agreements, Select Agent investigations, drug price reporting cases, and HHS OIG\u0026rsquo;s health care, grant, and contractor self-disclosure protocols. Rob has been a frequent presenter for many years at major national healthcare and life sciences conferences, conveying the government\u0026rsquo;s enforcement and compliance priorities.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eWith over 25 years of experience, including as the former Chief Counsel to HHS OIG, Rob advises healthcare and life sciences companies on complex regulatory and compliance issues. As the highest-ranking attorney for OIG, Rob served as a nationwide expert on the federal government\u0026rsquo;s development and implementation of health care compliance strategies for health care entities and compliance oversight by health care boards of directors. Rob oversaw all OIG legal services related to audits, investigations, fraud enforcement, and industry guidance. From early in his career as a line attorney with primary responsibility for OIG\u0026rsquo;s pneumonia upcoding national project, Rob has been significantly involved in many of the federal government\u0026rsquo;s major healthcare fraud and compliance initiatives over the past 25 years. As Chief Counsel, Rob served as the lead Deputy Inspector General for OIG\u0026rsquo;s updated compliance program guidance documents, setting forth best practices for entities that do business with the Federal health care programs, including Medicare and Medicaid.\u003c/p\u003e\n\u003cp\u003eBefore his role as Chief Counsel, he served for more than a decade as an Assistant Inspector General (AIG) for Legal Affairs. In that position, he was the signatory for OIG advisory opinions on the application of OIG's fraud and abuse authorities, including under the AKS, to the requesting party's existing or proposed business arrangements. He was also responsible for leading OIG\u0026rsquo;s legal work related to waivers of certain fraud and abuse laws for purposes of testing new health care payment and service delivery models developed by CMS. He has led OIG\u0026rsquo;s negotiation of Corporate Integrity Agreements (CIAs), with a wide range of providers from across the health care industry. From 2012 to 2016, he served as the OIG signatory on behalf of HHS for all False Claims Act (including qui tam) settlements and CIAs nationwide.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003ePrior to becoming AIG in 2012, Rob was the Chief of the Administrative and Civil Remedies Branch, the largest of three branches in the Office of Counsel.\u003c/p\u003e\n\u003cp\u003eIn 2007, Rob served as a Special Trial Attorney in DOJ\u0026rsquo;s Fraud Section, Criminal Division, where he prosecuted matters in connection with phase one of the Medicare Fraud Strike Force in the Southern District of Florida. In that role, Rob was co-counsel for the jury trial leading to conviction on all five criminal counts, including soliciting and receiving kickbacks, of a durable medical equipment company owner who conspired with two Miami pharmacies in a scheme to bill Medicare for expensive inhalation medications. Prior to working at OIG, he worked in the general counsel\u0026rsquo;s office at a managed care organization.\u003c/p\u003e","slug":"robert-deconti","email":"rdeconti@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":24,"guid":"24.capabilities","index":0,"source":"capabilities"},{"id":103,"guid":"103.capabilities","index":1,"source":"capabilities"},{"id":21,"guid":"21.capabilities","index":2,"source":"capabilities"},{"id":23,"guid":"23.capabilities","index":3,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":4,"source":"capabilities"},{"id":826,"guid":"826.smart_tags","index":5,"source":"smartTags"}],"is_active":true,"last_name":"DeConti","nick_name":"Rob","clerkships":[],"first_name":"Robert","title_rank":9999,"updated_by":202,"law_schools":[{"id":3042,"meta":{"degree":"J.D.","honors":"","is_law_school":"1","graduation_date":"1999-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"K.","name_suffix":"","recognitions":[{"title":"HHS Secretary’s Award for Distinguished Service","detail":""},{"title":"HHS Secretary’s Award for Meritorious Service","detail":""},{"title":"Inspector General’s Bronze Medal for Outstanding Employee of the Year (multiple awards)","detail":""},{"title":"Inspector General’s Award for Fighting Fraud, Waste, and Abuse","detail":""},{"title":"President’s Council on Integrity and Efficiency Award for Excellence","detail":""},{"title":"Office of Inspector General Cooperative Achievement Award (multiple awards)","detail":""},{"title":"Inspector General’s Exceptional Achievement Award (multiple awards)","detail":""}],"linked_in_url":"https://www.linkedin.com/in/robertdeconti","seodescription":null,"primary_title_id":15,"translated_fields":{"en":{"bio":"\u003cp\u003eRob DeConti is a partner in King \u0026amp; Spalding\u0026rsquo;s healthcare practice, specializing in government healthcare fraud investigations, compliance, diligence, the False Claims Act, the Anti-Kickback Statute (AKS), and regulatory compliance and enforcement issues in relation to healthcare transactions. Rob is an expert on all aspects of the Department of Health and Human Services (HHS) Office of Inspector General (OIG) administrative remedies and initiatives, including mandatory and permissive exclusion authorities, the Civil Monetary Penalties Law, the Emergency Medical Treatment and Labor Act (EMTALA), corporate integrity agreements, Select Agent investigations, drug price reporting cases, and HHS OIG\u0026rsquo;s health care, grant, and contractor self-disclosure protocols. Rob has been a frequent presenter for many years at major national healthcare and life sciences conferences, conveying the government\u0026rsquo;s enforcement and compliance priorities.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eWith over 25 years of experience, including as the former Chief Counsel to HHS OIG, Rob advises healthcare and life sciences companies on complex regulatory and compliance issues. As the highest-ranking attorney for OIG, Rob served as a nationwide expert on the federal government\u0026rsquo;s development and implementation of health care compliance strategies for health care entities and compliance oversight by health care boards of directors. Rob oversaw all OIG legal services related to audits, investigations, fraud enforcement, and industry guidance. From early in his career as a line attorney with primary responsibility for OIG\u0026rsquo;s pneumonia upcoding national project, Rob has been significantly involved in many of the federal government\u0026rsquo;s major healthcare fraud and compliance initiatives over the past 25 years. As Chief Counsel, Rob served as the lead Deputy Inspector General for OIG\u0026rsquo;s updated compliance program guidance documents, setting forth best practices for entities that do business with the Federal health care programs, including Medicare and Medicaid.\u003c/p\u003e\n\u003cp\u003eBefore his role as Chief Counsel, he served for more than a decade as an Assistant Inspector General (AIG) for Legal Affairs. In that position, he was the signatory for OIG advisory opinions on the application of OIG's fraud and abuse authorities, including under the AKS, to the requesting party's existing or proposed business arrangements. He was also responsible for leading OIG\u0026rsquo;s legal work related to waivers of certain fraud and abuse laws for purposes of testing new health care payment and service delivery models developed by CMS. He has led OIG\u0026rsquo;s negotiation of Corporate Integrity Agreements (CIAs), with a wide range of providers from across the health care industry. From 2012 to 2016, he served as the OIG signatory on behalf of HHS for all False Claims Act (including qui tam) settlements and CIAs nationwide.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003ePrior to becoming AIG in 2012, Rob was the Chief of the Administrative and Civil Remedies Branch, the largest of three branches in the Office of Counsel.\u003c/p\u003e\n\u003cp\u003eIn 2007, Rob served as a Special Trial Attorney in DOJ\u0026rsquo;s Fraud Section, Criminal Division, where he prosecuted matters in connection with phase one of the Medicare Fraud Strike Force in the Southern District of Florida. In that role, Rob was co-counsel for the jury trial leading to conviction on all five criminal counts, including soliciting and receiving kickbacks, of a durable medical equipment company owner who conspired with two Miami pharmacies in a scheme to bill Medicare for expensive inhalation medications. Prior to working at OIG, he worked in the general counsel\u0026rsquo;s office at a managed care organization.\u003c/p\u003e","recognitions":[{"title":"HHS Secretary’s Award for Distinguished Service","detail":""},{"title":"HHS Secretary’s Award for Meritorious Service","detail":""},{"title":"Inspector General’s Bronze Medal for Outstanding Employee of the Year (multiple awards)","detail":""},{"title":"Inspector General’s Award for Fighting Fraud, Waste, and Abuse","detail":""},{"title":"President’s Council on Integrity and Efficiency Award for Excellence","detail":""},{"title":"Office of Inspector General Cooperative Achievement Award (multiple awards)","detail":""},{"title":"Inspector General’s Exceptional Achievement Award (multiple awards)","detail":""}]},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":12841}]},"capability_group_id":2},"created_at":"2025-12-05T05:02:32.000Z","updated_at":"2025-12-05T05:02:32.000Z","searchable_text":"DeConti{{ FIELD }}{:title=\u0026gt;\"HHS Secretary’s Award for Distinguished Service\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"HHS Secretary’s Award for Meritorious Service\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"Inspector General’s Bronze Medal for Outstanding Employee of the Year (multiple awards)\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"Inspector General’s Award for Fighting Fraud, Waste, and Abuse\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"President’s Council on Integrity and Efficiency Award for Excellence\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"Office of Inspector General Cooperative Achievement Award (multiple awards)\", :detail=\u0026gt;\"\"}{{ FIELD }}{:title=\u0026gt;\"Inspector General’s Exceptional Achievement Award (multiple awards)\", :detail=\u0026gt;\"\"}{{ FIELD }}Rob DeConti is a partner in King \u0026amp; Spalding’s healthcare practice, specializing in government healthcare fraud investigations, compliance, diligence, the False Claims Act, the Anti-Kickback Statute (AKS), and regulatory compliance and enforcement issues in relation to healthcare transactions. Rob is an expert on all aspects of the Department of Health and Human Services (HHS) Office of Inspector General (OIG) administrative remedies and initiatives, including mandatory and permissive exclusion authorities, the Civil Monetary Penalties Law, the Emergency Medical Treatment and Labor Act (EMTALA), corporate integrity agreements, Select Agent investigations, drug price reporting cases, and HHS OIG’s health care, grant, and contractor self-disclosure protocols. Rob has been a frequent presenter for many years at major national healthcare and life sciences conferences, conveying the government’s enforcement and compliance priorities. \nWith over 25 years of experience, including as the former Chief Counsel to HHS OIG, Rob advises healthcare and life sciences companies on complex regulatory and compliance issues. As the highest-ranking attorney for OIG, Rob served as a nationwide expert on the federal government’s development and implementation of health care compliance strategies for health care entities and compliance oversight by health care boards of directors. Rob oversaw all OIG legal services related to audits, investigations, fraud enforcement, and industry guidance. From early in his career as a line attorney with primary responsibility for OIG’s pneumonia upcoding national project, Rob has been significantly involved in many of the federal government’s major healthcare fraud and compliance initiatives over the past 25 years. As Chief Counsel, Rob served as the lead Deputy Inspector General for OIG’s updated compliance program guidance documents, setting forth best practices for entities that do business with the Federal health care programs, including Medicare and Medicaid.\nBefore his role as Chief Counsel, he served for more than a decade as an Assistant Inspector General (AIG) for Legal Affairs. In that position, he was the signatory for OIG advisory opinions on the application of OIG's fraud and abuse authorities, including under the AKS, to the requesting party's existing or proposed business arrangements. He was also responsible for leading OIG’s legal work related to waivers of certain fraud and abuse laws for purposes of testing new health care payment and service delivery models developed by CMS. He has led OIG’s negotiation of Corporate Integrity Agreements (CIAs), with a wide range of providers from across the health care industry. From 2012 to 2016, he served as the OIG signatory on behalf of HHS for all False Claims Act (including qui tam) settlements and CIAs nationwide. \nPrior to becoming AIG in 2012, Rob was the Chief of the Administrative and Civil Remedies Branch, the largest of three branches in the Office of Counsel.\nIn 2007, Rob served as a Special Trial Attorney in DOJ’s Fraud Section, Criminal Division, where he prosecuted matters in connection with phase one of the Medicare Fraud Strike Force in the Southern District of Florida. In that role, Rob was co-counsel for the jury trial leading to conviction on all five criminal counts, including soliciting and receiving kickbacks, of a durable medical equipment company owner who conspired with two Miami pharmacies in a scheme to bill Medicare for expensive inhalation medications. Prior to working at OIG, he worked in the general counsel’s office at a managed care organization. Partner HHS Secretary’s Award for Distinguished Service  HHS Secretary’s Award for Meritorious Service  Inspector General’s Bronze Medal for Outstanding Employee of the Year (multiple awards)  Inspector General’s Award for Fighting Fraud, Waste, and Abuse  President’s Council on Integrity and Efficiency Award for Excellence  Office of Inspector General Cooperative Achievement Award (multiple awards)  Inspector General’s Exceptional Achievement Award (multiple awards)  University of Virginia  American University Washington College of Law American University Washington College of Law District of Columbia Virginia Virginia State Bar American Health Law Association Government Attorney-at-Large, American Bar Association Health Law Section Council, 2022-2025 Government Liaison to the Health Care Compliance Association, Board of Directors, 2008-2012","searchable_name":"Robert K. DeConti (Rob)","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":444013,"version":1,"owner_type":"Person","owner_id":7224,"payload":{"bio":"\u003cp\u003eWith 15 years of experience, Amadou\u0026rsquo;s practice focusses on patent and trade secret litigation matters for innovative technology companies. Amadou\u0026rsquo;s clients span numerous industries in the technology sector including data analytics, AI, cloud computing, cryptocurrency, search engine, web accessibility, wireless networking, finance, consumer products, and apparel. Amadou\u0026rsquo;s clients span the full spectrum of the corporate lifecycle from Fortune 100 companies to C-suite executives to individual founders and startups. Amadou is acutely aware of the unique needs of clients at different stages of their corporate trajectory and tailors his approach to each matter with this in mind.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eAmadou\u0026rsquo;s experience spans all stages of litigation, arbitration, and mediation through trial and other contested proceeding. He has extensive experience in numerous jurisdictions across the country including federal district courts, the International Trade Commission, the PTAB, and various arbitration tribunals. Amadou leverages his deep experience across numerous jurisdictions to develop holistic approaches for clients involved in complex multi-faceted litigations.\u003c/p\u003e\n\u003cp\u003eFor startup and earlier stage clients, Amadou serves as a strategic advisor on key intellectual property issues like freedom to operate, brand protection, patent portfolio development, trade secret protection, and licensing matters.\u003c/p\u003e\n\u003cp\u003eAmadou also counsels clients on a range of strategic IP dispute issues related to risk avoidance, mergers and acquisitions and other transactional matters.\u003c/p\u003e\n\u003cp\u003eAmadou routinely presents continuing legal education programs to clients on a broad array of issues related to IP, equity and inclusion in the legal profession and welcomes the opportunity to interface with clients through this programming. He is committed to civic engagement and has over a decade of experience serving on non-profit boards.\u003c/p\u003e\n\u003cp\u003eIn recognition of his dedication to client service, the National Law Journal recognized Amadou as a Rising Star in 2024. In 2024, Amadou was also recognized by the Legal 500 US as recommended Lawyer for his work in Patent Litigation: Full Coverage. Super Lawyers has recognized Amadou as a Rising Star and Top-Rated Intellectual Property Litigator each year since 2017.\u003c/p\u003e","slug":"amadou-diaw","email":"adiaw@kslaw.com","phone":null,"matters":["\u003cp\u003e\u003cem\u003ePRCM Advisers LLC, et al. v. Two Harbors Investment Corp., \u003c/em\u003eCase No. 20-cv-5649 (S.D.N.Y.) Representing Two Harbors Investment Corporation in a multi-faceted dispute involving claims for trade secret misappropriation.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eAudioEye, Inc. v. accessiBe Ltd.\u003c/em\u003e, Case No. 6:20-cv-997 (W.D. Tex.) Represented accessiBe in patent infringement litigation related to web accessibility technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eIn the Matter of Certain Computing Devices Utilizing Indexed Search Systems and Components Thereof\u003c/em\u003e, case number 337-TA-1389 represented the complainant X1 Discovery in a patent infringement litigation related to the use of certain index-based search technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eTQ Delta, LLC v. CommScope Holding Company, Inc. et al\u003c/em\u003e., Case No. 2:21-cv-310 (E.D. Tex.) Represented CommScope in patent infringement litigation related to certain signal impulse noise control and modulation technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eWeb 2.0 Technologies LLC v. Zendesk Inc.\u003c/em\u003e, Case No. 1:23-cv-00105 (D. Del.) Represented Zendesk in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eWeb 2.0 Technologies, LLC v. 37signals LLC., d/b/a Basecamp\u003c/em\u003e, Case No. 1:23-cv-230 (N.D. Ill.) Represented Basecamp in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eEasyweb Innovations LLC v. Bitpay Inc.\u003c/em\u003e, Case No. 1:24-cv-8582 (S.D.N.Y.) Represented BitPay in patent infringement litigation related to two-factor authentication technology.\u003c/p\u003e"],"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":74,"guid":"74.capabilities","index":0,"source":"capabilities"},{"id":13,"guid":"13.capabilities","index":1,"source":"capabilities"},{"id":5,"guid":"5.capabilities","index":2,"source":"capabilities"},{"id":118,"guid":"118.capabilities","index":3,"source":"capabilities"},{"id":103,"guid":"103.capabilities","index":4,"source":"capabilities"},{"id":107,"guid":"107.capabilities","index":5,"source":"capabilities"},{"id":133,"guid":"133.capabilities","index":6,"source":"capabilities"},{"id":106,"guid":"106.capabilities","index":7,"source":"capabilities"},{"id":102,"guid":"102.capabilities","index":8,"source":"capabilities"},{"id":105,"guid":"105.capabilities","index":9,"source":"capabilities"},{"id":763,"guid":"763.smart_tags","index":10,"source":"smartTags"},{"id":1409,"guid":"1409.smart_tags","index":11,"source":"smartTags"}],"is_active":true,"last_name":"Diaw","nick_name":"Amadou","clerkships":[],"first_name":"Amadou","title_rank":9999,"updated_by":202,"law_schools":[{"id":2410,"meta":{"degree":"J.D.","honors":"","is_law_school":"1","graduation_date":"2009-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"Kilkenny","name_suffix":"","recognitions":[{"title":"Rising Star in DC","detail":"National Law Journal, 2024"},{"title":"Recognized Amadou as a recommended Lawyer for his work in Patent Litigation: Full Coverage ","detail":"Legal 500 US, 2024"},{"title":"Rising Star and Top-Rated Intellectual Property Attorney in DC","detail":"Super Lawyers, 2017-Present"},{"title":"Outstanding Achievement Award","detail":"Washington Lawyers’ Committee for Civil Rights and Urban Affairs"}],"linked_in_url":"https://www.linkedin.com/in/akd44/","seodescription":null,"primary_title_id":15,"translated_fields":{"en":{"bio":"\u003cp\u003eWith 15 years of experience, Amadou\u0026rsquo;s practice focusses on patent and trade secret litigation matters for innovative technology companies. Amadou\u0026rsquo;s clients span numerous industries in the technology sector including data analytics, AI, cloud computing, cryptocurrency, search engine, web accessibility, wireless networking, finance, consumer products, and apparel. Amadou\u0026rsquo;s clients span the full spectrum of the corporate lifecycle from Fortune 100 companies to C-suite executives to individual founders and startups. Amadou is acutely aware of the unique needs of clients at different stages of their corporate trajectory and tailors his approach to each matter with this in mind.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eAmadou\u0026rsquo;s experience spans all stages of litigation, arbitration, and mediation through trial and other contested proceeding. He has extensive experience in numerous jurisdictions across the country including federal district courts, the International Trade Commission, the PTAB, and various arbitration tribunals. Amadou leverages his deep experience across numerous jurisdictions to develop holistic approaches for clients involved in complex multi-faceted litigations.\u003c/p\u003e\n\u003cp\u003eFor startup and earlier stage clients, Amadou serves as a strategic advisor on key intellectual property issues like freedom to operate, brand protection, patent portfolio development, trade secret protection, and licensing matters.\u003c/p\u003e\n\u003cp\u003eAmadou also counsels clients on a range of strategic IP dispute issues related to risk avoidance, mergers and acquisitions and other transactional matters.\u003c/p\u003e\n\u003cp\u003eAmadou routinely presents continuing legal education programs to clients on a broad array of issues related to IP, equity and inclusion in the legal profession and welcomes the opportunity to interface with clients through this programming. He is committed to civic engagement and has over a decade of experience serving on non-profit boards.\u003c/p\u003e\n\u003cp\u003eIn recognition of his dedication to client service, the National Law Journal recognized Amadou as a Rising Star in 2024. In 2024, Amadou was also recognized by the Legal 500 US as recommended Lawyer for his work in Patent Litigation: Full Coverage. Super Lawyers has recognized Amadou as a Rising Star and Top-Rated Intellectual Property Litigator each year since 2017.\u003c/p\u003e","matters":["\u003cp\u003e\u003cem\u003ePRCM Advisers LLC, et al. v. Two Harbors Investment Corp., \u003c/em\u003eCase No. 20-cv-5649 (S.D.N.Y.) Representing Two Harbors Investment Corporation in a multi-faceted dispute involving claims for trade secret misappropriation.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eAudioEye, Inc. v. accessiBe Ltd.\u003c/em\u003e, Case No. 6:20-cv-997 (W.D. Tex.) Represented accessiBe in patent infringement litigation related to web accessibility technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eIn the Matter of Certain Computing Devices Utilizing Indexed Search Systems and Components Thereof\u003c/em\u003e, case number 337-TA-1389 represented the complainant X1 Discovery in a patent infringement litigation related to the use of certain index-based search technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eTQ Delta, LLC v. CommScope Holding Company, Inc. et al\u003c/em\u003e., Case No. 2:21-cv-310 (E.D. Tex.) Represented CommScope in patent infringement litigation related to certain signal impulse noise control and modulation technology.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eWeb 2.0 Technologies LLC v. Zendesk Inc.\u003c/em\u003e, Case No. 1:23-cv-00105 (D. Del.) Represented Zendesk in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eWeb 2.0 Technologies, LLC v. 37signals LLC., d/b/a Basecamp\u003c/em\u003e, Case No. 1:23-cv-230 (N.D. Ill.) Represented Basecamp in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.\u003c/p\u003e","\u003cp\u003e\u003cem\u003eEasyweb Innovations LLC v. Bitpay Inc.\u003c/em\u003e, Case No. 1:24-cv-8582 (S.D.N.Y.) Represented BitPay in patent infringement litigation related to two-factor authentication technology.\u003c/p\u003e"],"recognitions":[{"title":"Rising Star in DC","detail":"National Law Journal, 2024"},{"title":"Recognized Amadou as a recommended Lawyer for his work in Patent Litigation: Full Coverage ","detail":"Legal 500 US, 2024"},{"title":"Rising Star and Top-Rated Intellectual Property Attorney in DC","detail":"Super Lawyers, 2017-Present"},{"title":"Outstanding Achievement Award","detail":"Washington Lawyers’ Committee for Civil Rights and Urban Affairs"}]},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":12964}]},"capability_group_id":3},"created_at":"2025-12-05T05:02:42.000Z","updated_at":"2025-12-05T05:02:42.000Z","searchable_text":"Diaw{{ FIELD }}{:title=\u0026gt;\"Rising Star in DC\", :detail=\u0026gt;\"National Law Journal, 2024\"}{{ FIELD }}{:title=\u0026gt;\"Recognized Amadou as a recommended Lawyer for his work in Patent Litigation: Full Coverage \", :detail=\u0026gt;\"Legal 500 US, 2024\"}{{ FIELD }}{:title=\u0026gt;\"Rising Star and Top-Rated Intellectual Property Attorney in DC\", :detail=\u0026gt;\"Super Lawyers, 2017-Present\"}{{ FIELD }}{:title=\u0026gt;\"Outstanding Achievement Award\", :detail=\u0026gt;\"Washington Lawyers’ Committee for Civil Rights and Urban Affairs\"}{{ FIELD }}PRCM Advisers LLC, et al. v. Two Harbors Investment Corp., Case No. 20-cv-5649 (S.D.N.Y.) Representing Two Harbors Investment Corporation in a multi-faceted dispute involving claims for trade secret misappropriation.{{ FIELD }}AudioEye, Inc. v. accessiBe Ltd., Case No. 6:20-cv-997 (W.D. Tex.) Represented accessiBe in patent infringement litigation related to web accessibility technology.{{ FIELD }}In the Matter of Certain Computing Devices Utilizing Indexed Search Systems and Components Thereof, case number 337-TA-1389 represented the complainant X1 Discovery in a patent infringement litigation related to the use of certain index-based search technology.{{ FIELD }}TQ Delta, LLC v. CommScope Holding Company, Inc. et al., Case No. 2:21-cv-310 (E.D. Tex.) Represented CommScope in patent infringement litigation related to certain signal impulse noise control and modulation technology.{{ FIELD }}Web 2.0 Technologies LLC v. Zendesk Inc., Case No. 1:23-cv-00105 (D. Del.) Represented Zendesk in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.{{ FIELD }}Web 2.0 Technologies, LLC v. 37signals LLC., d/b/a Basecamp, Case No. 1:23-cv-230 (N.D. Ill.) Represented Basecamp in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration.{{ FIELD }}Easyweb Innovations LLC v. Bitpay Inc., Case No. 1:24-cv-8582 (S.D.N.Y.) Represented BitPay in patent infringement litigation related to two-factor authentication technology.{{ FIELD }}With 15 years of experience, Amadou’s practice focusses on patent and trade secret litigation matters for innovative technology companies. Amadou’s clients span numerous industries in the technology sector including data analytics, AI, cloud computing, cryptocurrency, search engine, web accessibility, wireless networking, finance, consumer products, and apparel. Amadou’s clients span the full spectrum of the corporate lifecycle from Fortune 100 companies to C-suite executives to individual founders and startups. Amadou is acutely aware of the unique needs of clients at different stages of their corporate trajectory and tailors his approach to each matter with this in mind. \nAmadou’s experience spans all stages of litigation, arbitration, and mediation through trial and other contested proceeding. He has extensive experience in numerous jurisdictions across the country including federal district courts, the International Trade Commission, the PTAB, and various arbitration tribunals. Amadou leverages his deep experience across numerous jurisdictions to develop holistic approaches for clients involved in complex multi-faceted litigations.\nFor startup and earlier stage clients, Amadou serves as a strategic advisor on key intellectual property issues like freedom to operate, brand protection, patent portfolio development, trade secret protection, and licensing matters.\nAmadou also counsels clients on a range of strategic IP dispute issues related to risk avoidance, mergers and acquisitions and other transactional matters.\nAmadou routinely presents continuing legal education programs to clients on a broad array of issues related to IP, equity and inclusion in the legal profession and welcomes the opportunity to interface with clients through this programming. He is committed to civic engagement and has over a decade of experience serving on non-profit boards.\nIn recognition of his dedication to client service, the National Law Journal recognized Amadou as a Rising Star in 2024. In 2024, Amadou was also recognized by the Legal 500 US as recommended Lawyer for his work in Patent Litigation: Full Coverage. Super Lawyers has recognized Amadou as a Rising Star and Top-Rated Intellectual Property Litigator each year since 2017. Partner Rising Star in DC National Law Journal, 2024 Recognized Amadou as a recommended Lawyer for his work in Patent Litigation: Full Coverage  Legal 500 US, 2024 Rising Star and Top-Rated Intellectual Property Attorney in DC Super Lawyers, 2017-Present Outstanding Achievement Award Washington Lawyers’ Committee for Civil Rights and Urban Affairs Georgetown University  University of Virginia University of Virginia School of Law Maryland State Bar Association National Bar Association Washington D.C. Bar Association Intellectual Property Owners Association Board of Strength in Numbers DC, Board Member Georgetown University’s Hoya Hoop Club, Secretary of the Board of Directors Hoyas Unlimited, At-Large Board Member University of Virginia School of Law Foundation, Class Agent PRCM Advisers LLC, et al. v. Two Harbors Investment Corp., Case No. 20-cv-5649 (S.D.N.Y.) Representing Two Harbors Investment Corporation in a multi-faceted dispute involving claims for trade secret misappropriation. AudioEye, Inc. v. accessiBe Ltd., Case No. 6:20-cv-997 (W.D. Tex.) Represented accessiBe in patent infringement litigation related to web accessibility technology. In the Matter of Certain Computing Devices Utilizing Indexed Search Systems and Components Thereof, case number 337-TA-1389 represented the complainant X1 Discovery in a patent infringement litigation related to the use of certain index-based search technology. TQ Delta, LLC v. CommScope Holding Company, Inc. et al., Case No. 2:21-cv-310 (E.D. Tex.) Represented CommScope in patent infringement litigation related to certain signal impulse noise control and modulation technology. Web 2.0 Technologies LLC v. Zendesk Inc., Case No. 1:23-cv-00105 (D. Del.) Represented Zendesk in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration. Web 2.0 Technologies, LLC v. 37signals LLC., d/b/a Basecamp, Case No. 1:23-cv-230 (N.D. Ill.) Represented Basecamp in a patent infringement litigation related to cybersecurity techniques used in connection with online document collaboration. Easyweb Innovations LLC v. Bitpay Inc., Case No. 1:24-cv-8582 (S.D.N.Y.) Represented BitPay in patent infringement litigation related to two-factor authentication technology.","searchable_name":"Amadou Kilkenny Diaw","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":435271,"version":1,"owner_type":"Person","owner_id":1973,"payload":{"bio":"\u003cp\u003eDan Donovan specializes in congressional, state attorneys general and parallel government investigations. A former Chief Investigative Counsel in the Senate, Dan co-chairs\u0026nbsp;our Government Advocacy and Congressional Investigations practices perennially recognized by \u003cem\u003eChambers USA\u003c/em\u003e: \u0026ldquo;King \u0026amp; Spalding is best known for its impressive congressional investigations practice, with several dedicated members working exclusively in this area.\u0026rdquo; Dan is ranked Band 1 for Congressional Investigations by \u003cem\u003eChambers USA \u003c/em\u003eand Tier 1 \u003cem\u003eLegal 500 US\u003c/em\u003e.\u0026nbsp; He\u0026nbsp;has two decades of crisis management experience with government investigations, involving significant legal, public relations and political risks.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eDan represents leading companies, individuals, trade associations, and nonprofit entities and provides effective crisis management counsel. He works at the forefront of controversial and politicized national and state policy issues that frequently lead to investigations and litigation, including congressional, multi-state and federal agency enforcement actions. Particularly experienced in anticipating and responding to congressional committee requests and subpoenas, Dan prepares clients for high-profile hearings and guides them through the unique challenges presented by congressional and parallel government investigations.\u003c/p\u003e\n\u003cp\u003eBefore joining the firm, Dan served as Senior Investigative Counsel to Senator Charles Grassley, then Chairman of the Committee on Finance. While serving in the U.S. Senate, Dan managed congressional investigations and oversight hearings. In this role, Dan directed investigations focused on statutory and regulatory compliance, including drug and device safety, drug pricing, and waste, fraud and abuse in Medicare, Medicaid and other government programs. He also handled policy and legislative matters, including the False Claims Act, the Food, Drug, and Cosmetic Act, Medicare and Medicaid programs, and related statutes. Dan also served as Chief Investigative Counsel to the Senate Committee on Small Business, where he managed consumer fraud and small business protection investigations and hearings. He began his congressional career as a Staff Assistant on the Senate Committee on Governmental Affairs, chaired by Senator Fred Thompson, working on the special investigation into the 1996 federal election campaigns.\u003c/p\u003e\n\u003cp\u003eDan also provides strategic policy and legislative counsel, and is a frequent speaker on congressional oversight and investigations.\u003c/p\u003e","slug":"daniel-donovan","email":"ddonovan@kslaw.com","phone":null,"matters":["\u003cp\u003eExperience representing numerous clients under investigation by Republican-controlled Senate and House Committees, including Senate Banking, Commerce, Finance, HELP, Homeland Security, Judiciary, Permanent Subcommittee on Investigations, Special Committee on Aging, and House Education and the Workforce, Energy \u0026amp; Commerce, Financial Services, Judiciary, Oversight and Reform, Select Subcommittee on the Coronavirus Crisis, Select Committee on CCP, and Ways \u0026amp; Means, among others.\u003c/p\u003e","\u003cp\u003eProviding advice and counsel with respect to congressional oversight activity to leading companies in private sector industries, including accounting, auto, banking, consulting, defense, energy, fashion, food, healthcare provider, higher education, insurance, medical device, pharmaceutical, private equity, and tech, among others.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong\u003ea variety of clients\u003c/strong\u003e\u0026nbsp;in connection with investigations relating to allegations of government fraud, food and product safety and recalls, cybersecurity breaches, product pricing, clinical research, off-label promotion, direct-to-consumer advertising, payments to physicians, and financial conflicts of interest.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emultiple pharmaceutical companies\u003c/strong\u003e\u0026nbsp;in connection with congressional and state attorneys general drug pricing investigations.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea variety of clients\u003c/strong\u003e\u0026nbsp;on healthcare policy and legislative issues.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea major university\u003c/strong\u003e\u0026nbsp;and\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003epharmaceutical company\u003c/strong\u003e\u0026nbsp;in connection with the Select Panel on Infant Lives (authorized under the House Energy and Commerce Committee) investigation relating to fetal tissue research.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea global financial institution\u003c/strong\u003e\u0026nbsp;in connection with an investigation by the Senate Permanent Subcommittee on Investigations, regarding international tax matters.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea Big Four accounting firm\u003c/strong\u003e\u0026nbsp;in a Senate Finance Committee investigation of a University\u0026rsquo;s handling of federal funds.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emultiple pharmaceutical companies\u003c/strong\u003e\u0026nbsp;in House and Senate investigations related to Affordable Care Act enactment and implementation.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emedical device companies\u003c/strong\u003e\u0026nbsp;in connection with House and Senate committee investigations into 510(k) regulatory issues, direct-to-consumer advertising, and payments to physicians.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea leading clean energy technology company\u003c/strong\u003e\u0026nbsp;in connection with a Senate investigation into Department of Energy grant program.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea major oil company\u003c/strong\u003e\u0026nbsp;in connection with congressional investigations.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea health insurer\u003c/strong\u003e\u0026nbsp;in House and Senate investigations related to Affordable Care Act implementation.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea coalition of food product companies\u003c/strong\u003e\u0026nbsp;in connection with congressional inquiries relating to food safety and regulatory issues.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea medical society\u003c/strong\u003e\u0026nbsp;in connection with Senate committee investigations in payments to physicians.\u003c/p\u003e","\u003cp\u003eRepresented individuals in connection with House and Senate committee inquiries and ethics investigations.\u003c/p\u003e"],"taggings":{"tags":[],"meta_tags":[{"id":3464}]},"expertise":[{"id":23,"guid":"23.capabilities","index":0,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":1,"source":"capabilities"},{"id":687,"guid":"687.smart_tags","index":2,"source":"smartTags"},{"id":111,"guid":"111.capabilities","index":3,"source":"capabilities"},{"id":1199,"guid":"1199.smart_tags","index":4,"source":"smartTags"},{"id":106,"guid":"106.capabilities","index":5,"source":"capabilities"},{"id":6,"guid":"6.capabilities","index":6,"source":"capabilities"},{"id":71,"guid":"71.capabilities","index":7,"source":"capabilities"},{"id":107,"guid":"107.capabilities","index":8,"source":"capabilities"},{"id":103,"guid":"103.capabilities","index":9,"source":"capabilities"},{"id":750,"guid":"750.smart_tags","index":10,"source":"smartTags"},{"id":761,"guid":"761.smart_tags","index":11,"source":"smartTags"},{"id":17,"guid":"17.capabilities","index":12,"source":"capabilities"},{"id":80,"guid":"80.capabilities","index":13,"source":"capabilities"},{"id":122,"guid":"122.capabilities","index":14,"source":"capabilities"},{"id":128,"guid":"128.capabilities","index":15,"source":"capabilities"},{"id":1261,"guid":"1261.smart_tags","index":16,"source":"smartTags"},{"id":1270,"guid":"1270.smart_tags","index":17,"source":"smartTags"}],"is_active":true,"last_name":"Donovan","nick_name":"Dan","clerkships":[],"first_name":"Daniel","title_rank":9999,"updated_by":202,"law_schools":[],"middle_name":"F.","name_suffix":"","recognitions":[{"title":"Band 1 Top Ranked Lawyer, Government Relations: Congressional Investigations - USA - Nationwide","detail":"Chambers USA, 2021-2024"},{"title":"“[Daniel] provides superb service and is an absolutely indispensable partner. He is incredibly responsive.”","detail":"Chambers USA"},{"title":"Tier 1 Government Relations: Congressional Investigations","detail":"Legal 500 US, 2024"},{"title":"“Life Sciences Star” White-Collar/Govt. Investigations","detail":"LMG Life Sciences, 2024"},{"title":"GIR 100","detail":"Global Investigations Review, 2024"},{"title":"Tier 1 for Government Relations Practice","detail":"Best Lawyers, 2024"},{"title":"“[W]e have complete confidence in his ability to manage complex issues and communicate with our senior leaders.”","detail":"Chambers USA"},{"title":"“King \u0026 Spalding is best known for its impressive congressional investigations practice.”","detail":"Chambers USA, 2008-2024"},{"title":"“Daniel is an expert in Congressional investigations and is always able to keep a calm head”","detail":"Chambers USA, 2021-2024"},{"title":"“Daniel provides extremely good insight into the Congressional process and can convey it to high-level executives.”","detail":"Chambers USA"},{"title":"“[A]ctive in high-profile congressional investigations, and includes ... experts such as Daniel Donovan”","detail":"Legal 500 US"},{"title":"King \u0026 Spalding has “a strong track in congressional investigations … Daniel Donovan is a key contact”","detail":"Legal 500 US"},{"title":"Nationwide Government Relations Practice Ranking","detail":"Chambers USA 2008-2024"},{"title":"Leading Government Relations Lawyer","detail":"Legal 500 US, 2020-2024"},{"title":"Crisis Management and Government Oversight Practice Award","detail":"National Law Journal 2021"},{"title":"“Law Firm of the Year” for Government Relations","detail":"US News \u0026 World Report"}],"linked_in_url":"https://www.linkedin.com/in/dan-donovan-214322a/","seodescription":"Dan Donovan specializes in congressional, state attorneys general and parallel government investigations. Read more about him.","primary_title_id":15,"translated_fields":{"en":{"bio":"\u003cp\u003eDan Donovan specializes in congressional, state attorneys general and parallel government investigations. A former Chief Investigative Counsel in the Senate, Dan co-chairs\u0026nbsp;our Government Advocacy and Congressional Investigations practices perennially recognized by \u003cem\u003eChambers USA\u003c/em\u003e: \u0026ldquo;King \u0026amp; Spalding is best known for its impressive congressional investigations practice, with several dedicated members working exclusively in this area.\u0026rdquo; Dan is ranked Band 1 for Congressional Investigations by \u003cem\u003eChambers USA \u003c/em\u003eand Tier 1 \u003cem\u003eLegal 500 US\u003c/em\u003e.\u0026nbsp; He\u0026nbsp;has two decades of crisis management experience with government investigations, involving significant legal, public relations and political risks.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eDan represents leading companies, individuals, trade associations, and nonprofit entities and provides effective crisis management counsel. He works at the forefront of controversial and politicized national and state policy issues that frequently lead to investigations and litigation, including congressional, multi-state and federal agency enforcement actions. Particularly experienced in anticipating and responding to congressional committee requests and subpoenas, Dan prepares clients for high-profile hearings and guides them through the unique challenges presented by congressional and parallel government investigations.\u003c/p\u003e\n\u003cp\u003eBefore joining the firm, Dan served as Senior Investigative Counsel to Senator Charles Grassley, then Chairman of the Committee on Finance. While serving in the U.S. Senate, Dan managed congressional investigations and oversight hearings. In this role, Dan directed investigations focused on statutory and regulatory compliance, including drug and device safety, drug pricing, and waste, fraud and abuse in Medicare, Medicaid and other government programs. He also handled policy and legislative matters, including the False Claims Act, the Food, Drug, and Cosmetic Act, Medicare and Medicaid programs, and related statutes. Dan also served as Chief Investigative Counsel to the Senate Committee on Small Business, where he managed consumer fraud and small business protection investigations and hearings. He began his congressional career as a Staff Assistant on the Senate Committee on Governmental Affairs, chaired by Senator Fred Thompson, working on the special investigation into the 1996 federal election campaigns.\u003c/p\u003e\n\u003cp\u003eDan also provides strategic policy and legislative counsel, and is a frequent speaker on congressional oversight and investigations.\u003c/p\u003e","matters":["\u003cp\u003eExperience representing numerous clients under investigation by Republican-controlled Senate and House Committees, including Senate Banking, Commerce, Finance, HELP, Homeland Security, Judiciary, Permanent Subcommittee on Investigations, Special Committee on Aging, and House Education and the Workforce, Energy \u0026amp; Commerce, Financial Services, Judiciary, Oversight and Reform, Select Subcommittee on the Coronavirus Crisis, Select Committee on CCP, and Ways \u0026amp; Means, among others.\u003c/p\u003e","\u003cp\u003eProviding advice and counsel with respect to congressional oversight activity to leading companies in private sector industries, including accounting, auto, banking, consulting, defense, energy, fashion, food, healthcare provider, higher education, insurance, medical device, pharmaceutical, private equity, and tech, among others.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong\u003ea variety of clients\u003c/strong\u003e\u0026nbsp;in connection with investigations relating to allegations of government fraud, food and product safety and recalls, cybersecurity breaches, product pricing, clinical research, off-label promotion, direct-to-consumer advertising, payments to physicians, and financial conflicts of interest.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emultiple pharmaceutical companies\u003c/strong\u003e\u0026nbsp;in connection with congressional and state attorneys general drug pricing investigations.\u003c/p\u003e","\u003cp\u003eRepresenting\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea variety of clients\u003c/strong\u003e\u0026nbsp;on healthcare policy and legislative issues.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea major university\u003c/strong\u003e\u0026nbsp;and\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003epharmaceutical company\u003c/strong\u003e\u0026nbsp;in connection with the Select Panel on Infant Lives (authorized under the House Energy and Commerce Committee) investigation relating to fetal tissue research.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea global financial institution\u003c/strong\u003e\u0026nbsp;in connection with an investigation by the Senate Permanent Subcommittee on Investigations, regarding international tax matters.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea Big Four accounting firm\u003c/strong\u003e\u0026nbsp;in a Senate Finance Committee investigation of a University\u0026rsquo;s handling of federal funds.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emultiple pharmaceutical companies\u003c/strong\u003e\u0026nbsp;in House and Senate investigations related to Affordable Care Act enactment and implementation.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003emedical device companies\u003c/strong\u003e\u0026nbsp;in connection with House and Senate committee investigations into 510(k) regulatory issues, direct-to-consumer advertising, and payments to physicians.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea leading clean energy technology company\u003c/strong\u003e\u0026nbsp;in connection with a Senate investigation into Department of Energy grant program.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea major oil company\u003c/strong\u003e\u0026nbsp;in connection with congressional investigations.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea health insurer\u003c/strong\u003e\u0026nbsp;in House and Senate investigations related to Affordable Care Act implementation.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea coalition of food product companies\u003c/strong\u003e\u0026nbsp;in connection with congressional inquiries relating to food safety and regulatory issues.\u003c/p\u003e","\u003cp\u003eRepresented\u0026nbsp;\u003cstrong data-redactor-tag=\"strong\"\u003ea medical society\u003c/strong\u003e\u0026nbsp;in connection with Senate committee investigations in payments to physicians.\u003c/p\u003e","\u003cp\u003eRepresented individuals in connection with House and Senate committee inquiries and ethics investigations.\u003c/p\u003e"],"recognitions":[{"title":"Band 1 Top Ranked Lawyer, Government Relations: Congressional Investigations - USA - Nationwide","detail":"Chambers USA, 2021-2024"},{"title":"“[Daniel] provides superb service and is an absolutely indispensable partner. He is incredibly responsive.”","detail":"Chambers USA"},{"title":"Tier 1 Government Relations: Congressional Investigations","detail":"Legal 500 US, 2024"},{"title":"“Life Sciences Star” White-Collar/Govt. Investigations","detail":"LMG Life Sciences, 2024"},{"title":"GIR 100","detail":"Global Investigations Review, 2024"},{"title":"Tier 1 for Government Relations Practice","detail":"Best Lawyers, 2024"},{"title":"“[W]e have complete confidence in his ability to manage complex issues and communicate with our senior leaders.”","detail":"Chambers USA"},{"title":"“King \u0026 Spalding is best known for its impressive congressional investigations practice.”","detail":"Chambers USA, 2008-2024"},{"title":"“Daniel is an expert in Congressional investigations and is always able to keep a calm head”","detail":"Chambers USA, 2021-2024"},{"title":"“Daniel provides extremely good insight into the Congressional process and can convey it to high-level executives.”","detail":"Chambers USA"},{"title":"“[A]ctive in high-profile congressional investigations, and includes ... experts such as Daniel Donovan”","detail":"Legal 500 US"},{"title":"King \u0026 Spalding has “a strong track in congressional investigations … Daniel Donovan is a key contact”","detail":"Legal 500 US"},{"title":"Nationwide Government Relations Practice Ranking","detail":"Chambers USA 2008-2024"},{"title":"Leading Government Relations Lawyer","detail":"Legal 500 US, 2020-2024"},{"title":"Crisis Management and Government Oversight Practice Award","detail":"National Law Journal 2021"},{"title":"“Law Firm of the Year” for Government Relations","detail":"US News \u0026 World Report"}]},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":9964}]},"capability_group_id":2},"created_at":"2025-08-14T15:45:04.000Z","updated_at":"2025-08-14T15:45:04.000Z","searchable_text":"Donovan{{ FIELD }}{:title=\u0026gt;\"Band 1 Top Ranked Lawyer, Government Relations: Congressional Investigations - USA - Nationwide\", :detail=\u0026gt;\"Chambers USA, 2021-2024\"}{{ FIELD }}{:title=\u0026gt;\"“[Daniel] provides superb service and is an absolutely indispensable partner. He is incredibly responsive.”\", :detail=\u0026gt;\"Chambers USA\"}{{ FIELD }}{:title=\u0026gt;\"Tier 1 Government Relations: Congressional Investigations\", :detail=\u0026gt;\"Legal 500 US, 2024\"}{{ FIELD }}{:title=\u0026gt;\"“Life Sciences Star” White-Collar/Govt. Investigations\", :detail=\u0026gt;\"LMG Life Sciences, 2024\"}{{ FIELD }}{:title=\u0026gt;\"GIR 100\", :detail=\u0026gt;\"Global Investigations Review, 2024\"}{{ FIELD }}{:title=\u0026gt;\"Tier 1 for Government Relations Practice\", :detail=\u0026gt;\"Best Lawyers, 2024\"}{{ FIELD }}{:title=\u0026gt;\"“[W]e have complete confidence in his ability to manage complex issues and communicate with our senior leaders.”\", :detail=\u0026gt;\"Chambers USA\"}{{ FIELD }}{:title=\u0026gt;\"“King \u0026amp; Spalding is best known for its impressive congressional investigations practice.”\", :detail=\u0026gt;\"Chambers USA, 2008-2024\"}{{ FIELD }}{:title=\u0026gt;\"“Daniel is an expert in Congressional investigations and is always able to keep a calm head”\", :detail=\u0026gt;\"Chambers USA, 2021-2024\"}{{ FIELD }}{:title=\u0026gt;\"“Daniel provides extremely good insight into the Congressional process and can convey it to high-level executives.”\", :detail=\u0026gt;\"Chambers USA\"}{{ FIELD }}{:title=\u0026gt;\"“[A]ctive in high-profile congressional investigations, and includes ... experts such as Daniel Donovan”\", :detail=\u0026gt;\"Legal 500 US\"}{{ FIELD }}{:title=\u0026gt;\"King \u0026amp; Spalding has “a strong track in congressional investigations … Daniel Donovan is a key contact”\", :detail=\u0026gt;\"Legal 500 US\"}{{ FIELD }}{:title=\u0026gt;\"Nationwide Government Relations Practice Ranking\", :detail=\u0026gt;\"Chambers USA 2008-2024\"}{{ FIELD }}{:title=\u0026gt;\"Leading Government Relations Lawyer\", :detail=\u0026gt;\"Legal 500 US, 2020-2024\"}{{ FIELD }}{:title=\u0026gt;\"Crisis Management and Government Oversight Practice Award\", :detail=\u0026gt;\"National Law Journal 2021\"}{{ FIELD }}{:title=\u0026gt;\"“Law Firm of the Year” for Government Relations\", :detail=\u0026gt;\"US News \u0026amp; World Report\"}{{ FIELD }}Experience representing numerous clients under investigation by Republican-controlled Senate and House Committees, including Senate Banking, Commerce, Finance, HELP, Homeland Security, Judiciary, Permanent Subcommittee on Investigations, Special Committee on Aging, and House Education and the Workforce, Energy \u0026amp; Commerce, Financial Services, Judiciary, Oversight and Reform, Select Subcommittee on the Coronavirus Crisis, Select Committee on CCP, and Ways \u0026amp; Means, among others.{{ FIELD }}Providing advice and counsel with respect to congressional oversight activity to leading companies in private sector industries, including accounting, auto, banking, consulting, defense, energy, fashion, food, healthcare provider, higher education, insurance, medical device, pharmaceutical, private equity, and tech, among others.{{ FIELD }}Representing a variety of clients in connection with investigations relating to allegations of government fraud, food and product safety and recalls, cybersecurity breaches, product pricing, clinical research, off-label promotion, direct-to-consumer advertising, payments to physicians, and financial conflicts of interest.{{ FIELD }}Representing multiple pharmaceutical companies in connection with congressional and state attorneys general drug pricing investigations.{{ FIELD }}Representing a variety of clients on healthcare policy and legislative issues.{{ FIELD }}Represented a major university and pharmaceutical company in connection with the Select Panel on Infant Lives (authorized under the House Energy and Commerce Committee) investigation relating to fetal tissue research.{{ FIELD }}Represented a global financial institution in connection with an investigation by the Senate Permanent Subcommittee on Investigations, regarding international tax matters.{{ FIELD }}Represented a Big Four accounting firm in a Senate Finance Committee investigation of a University’s handling of federal funds.{{ FIELD }}Represented multiple pharmaceutical companies in House and Senate investigations related to Affordable Care Act enactment and implementation.{{ FIELD }}Represented medical device companies in connection with House and Senate committee investigations into 510(k) regulatory issues, direct-to-consumer advertising, and payments to physicians.{{ FIELD }}Represented a leading clean energy technology company in connection with a Senate investigation into Department of Energy grant program.{{ FIELD }}Represented a major oil company in connection with congressional investigations.{{ FIELD }}Represented a health insurer in House and Senate investigations related to Affordable Care Act implementation.{{ FIELD }}Represented a coalition of food product companies in connection with congressional inquiries relating to food safety and regulatory issues.{{ FIELD }}Represented a medical society in connection with Senate committee investigations in payments to physicians.{{ FIELD }}Represented individuals in connection with House and Senate committee inquiries and ethics investigations.{{ FIELD }}Dan Donovan specializes in congressional, state attorneys general and parallel government investigations. A former Chief Investigative Counsel in the Senate, Dan co-chairs our Government Advocacy and Congressional Investigations practices perennially recognized by Chambers USA: “King \u0026amp; Spalding is best known for its impressive congressional investigations practice, with several dedicated members working exclusively in this area.” Dan is ranked Band 1 for Congressional Investigations by Chambers USA and Tier 1 Legal 500 US.  He has two decades of crisis management experience with government investigations, involving significant legal, public relations and political risks.\nDan represents leading companies, individuals, trade associations, and nonprofit entities and provides effective crisis management counsel. He works at the forefront of controversial and politicized national and state policy issues that frequently lead to investigations and litigation, including congressional, multi-state and federal agency enforcement actions. Particularly experienced in anticipating and responding to congressional committee requests and subpoenas, Dan prepares clients for high-profile hearings and guides them through the unique challenges presented by congressional and parallel government investigations.\nBefore joining the firm, Dan served as Senior Investigative Counsel to Senator Charles Grassley, then Chairman of the Committee on Finance. While serving in the U.S. Senate, Dan managed congressional investigations and oversight hearings. In this role, Dan directed investigations focused on statutory and regulatory compliance, including drug and device safety, drug pricing, and waste, fraud and abuse in Medicare, Medicaid and other government programs. He also handled policy and legislative matters, including the False Claims Act, the Food, Drug, and Cosmetic Act, Medicare and Medicaid programs, and related statutes. Dan also served as Chief Investigative Counsel to the Senate Committee on Small Business, where he managed consumer fraud and small business protection investigations and hearings. He began his congressional career as a Staff Assistant on the Senate Committee on Governmental Affairs, chaired by Senator Fred Thompson, working on the special investigation into the 1996 federal election campaigns.\nDan also provides strategic policy and legislative counsel, and is a frequent speaker on congressional oversight and investigations. Daniel Donovan lawyer Partner Band 1 Top Ranked Lawyer, Government Relations: Congressional Investigations - USA - Nationwide Chambers USA, 2021-2024 “[Daniel] provides superb service and is an absolutely indispensable partner. He is incredibly responsive.” Chambers USA Tier 1 Government Relations: Congressional Investigations Legal 500 US, 2024 “Life Sciences Star” White-Collar/Govt. Investigations LMG Life Sciences, 2024 GIR 100 Global Investigations Review, 2024 Tier 1 for Government Relations Practice Best Lawyers, 2024 “[W]e have complete confidence in his ability to manage complex issues and communicate with our senior leaders.” Chambers USA “King \u0026amp; Spalding is best known for its impressive congressional investigations practice.” Chambers USA, 2008-2024 “Daniel is an expert in Congressional investigations and is always able to keep a calm head” Chambers USA, 2021-2024 “Daniel provides extremely good insight into the Congressional process and can convey it to high-level executives.” Chambers USA “[A]ctive in high-profile congressional investigations, and includes ... experts such as Daniel Donovan” Legal 500 US King \u0026amp; Spalding has “a strong track in congressional investigations … Daniel Donovan is a key contact” Legal 500 US Nationwide Government Relations Practice Ranking Chambers USA 2008-2024 Leading Government Relations Lawyer Legal 500 US, 2020-2024 Crisis Management and Government Oversight Practice Award National Law Journal 2021 “Law Firm of the Year” for Government Relations US News \u0026amp; World Report University of Rochester  American University Washington College of Law District of Columbia Maryland Experience representing numerous clients under investigation by Republican-controlled Senate and House Committees, including Senate Banking, Commerce, Finance, HELP, Homeland Security, Judiciary, Permanent Subcommittee on Investigations, Special Committee on Aging, and House Education and the Workforce, Energy \u0026amp; Commerce, Financial Services, Judiciary, Oversight and Reform, Select Subcommittee on the Coronavirus Crisis, Select Committee on CCP, and Ways \u0026amp; Means, among others. Providing advice and counsel with respect to congressional oversight activity to leading companies in private sector industries, including accounting, auto, banking, consulting, defense, energy, fashion, food, healthcare provider, higher education, insurance, medical device, pharmaceutical, private equity, and tech, among others. Representing a variety of clients in connection with investigations relating to allegations of government fraud, food and product safety and recalls, cybersecurity breaches, product pricing, clinical research, off-label promotion, direct-to-consumer advertising, payments to physicians, and financial conflicts of interest. Representing multiple pharmaceutical companies in connection with congressional and state attorneys general drug pricing investigations. Representing a variety of clients on healthcare policy and legislative issues. Represented a major university and pharmaceutical company in connection with the Select Panel on Infant Lives (authorized under the House Energy and Commerce Committee) investigation relating to fetal tissue research. Represented a global financial institution in connection with an investigation by the Senate Permanent Subcommittee on Investigations, regarding international tax matters. Represented a Big Four accounting firm in a Senate Finance Committee investigation of a University’s handling of federal funds. Represented multiple pharmaceutical companies in House and Senate investigations related to Affordable Care Act enactment and implementation. Represented medical device companies in connection with House and Senate committee investigations into 510(k) regulatory issues, direct-to-consumer advertising, and payments to physicians. Represented a leading clean energy technology company in connection with a Senate investigation into Department of Energy grant program. Represented a major oil company in connection with congressional investigations. Represented a health insurer in House and Senate investigations related to Affordable Care Act implementation. Represented a coalition of food product companies in connection with congressional inquiries relating to food safety and regulatory issues. Represented a medical society in connection with Senate committee investigations in payments to physicians. Represented individuals in connection with House and Senate committee inquiries and ethics investigations.","searchable_name":"Daniel F. Donovan (Dan)","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":431883,"version":1,"owner_type":"Person","owner_id":3969,"payload":{"bio":"\u003cp\u003eA partner in our FDA and Life Sciences practice, Lisa has almost 25\u0026nbsp;years of experience developing regulatory, legislative and litigation solutions for companies selling FDA-regulated products (i.e., drugs, devices, biologics, cosmetics, and tobacco). \u0026nbsp;She has served as an advisor to high-level public officials and C-suite executives on complex regulatory, policy, and litigation issues.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePreviously, Lisa served as a Senior Policy Advisor in the FDA Commissioner\u0026rsquo;s Office and as the Deputy Chief of Staff to the Commissioner of Food and Drugs. In these roles, she provided strategic counsel on the agency\u0026rsquo;s most significant and complex issues. These included off-label marketing, mobile medical apps/digital health, opioid misuse and abuse, in vitro diagnostics and next generation sequencing, cosmetic legislation and regulation, and antimicrobial drug development and use. During her tenure at the FDA, she also worked closely with Congress, the Department of Health and Human Services, the National Institutes of Health (NIH), the Centers for Disease Control and Prevention (CDC) and the Drug Enforcement Administration (DEA).\u003c/p\u003e\n\u003cp\u003eLisa is a frequent author and speaker on topics including:\u0026nbsp; digital health, advertising and promoting drugs and devices, remedying unfair competition in the drug and device space, women\u0026rsquo;s health issues, admissibility of 510(k)s in product liability lawsuits, preemption, in vitro diagnostics, the 21st Century Cures Act, and other topics. Lisa is Chambers ranked for Pharmaceutical/Medical Products Law. She also has been repeatedly recognized by Legal 500 as a Next Generation Partner and as a Recommended Key Lawyer for FDA Regulatory Law (2017, 2019, 2020, 2021, 2022, 2023, 2024) and for Government Relations (2016). Legal 500 has distinguished her for her expertise in digital health/AI and in pre-market strategies, and praised for her \u0026ldquo;unending enthusiasm to take on client\u0026rsquo;s causes as her own.\"\u003c/p\u003e","slug":"lisa-dwyer","email":"ldwyer@kslaw.com","phone":null,"matters":["\u003cp\u003eFocus on Digital Health/Telehealth\u003c/p\u003e","\u003cp\u003eFocus on In Vitro Diagnostic Tests and Laboratory Developed Tests\u003c/p\u003e","\u003cp\u003eFDA/FTC regulation of advertising and promotion\u003c/p\u003e","\u003cp\u003ePre-market development (drugs and devices (including digital health products))\u003c/p\u003e","\u003cp\u003eFDA product submissions (drugs and devices (including digital health products))\u003c/p\u003e","\u003cp\u003eDevelops regulatory, legislative and litigation solutions for unfair competition in the drug/device space\u003c/p\u003e\n\u003cp\u003e- Lanham Act\u003c/p\u003e\n\u003cp\u003e- Unfair trade practice statutes (state and federal)\u003c/p\u003e","\u003cp\u003eEngages FDA and Congress on key issues related to FDA-regulated products\u003c/p\u003e","\u003cp\u003eResponds to FDA/FTC inquires, FDA warning letters, and FDA 483s\u003c/p\u003e","\u003cp\u003eExperience remedying cGMP issues at facilities making OTC and Rx drugs and cosmetics\u003c/p\u003e","\u003cp\u003eCo-Chairs Women's Health Initiative\u003c/p\u003e","\u003cp\u003eMember of Cannabis Steering Committee\u003c/p\u003e"],"taggings":{"tags":[],"meta_tags":[{"id":53}]},"expertise":[{"id":2,"guid":"2.capabilities","index":0,"source":"capabilities"},{"id":3,"guid":"3.smart_tags","index":1,"source":"smartTags"},{"id":23,"guid":"23.capabilities","index":2,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":3,"source":"capabilities"},{"id":103,"guid":"103.capabilities","index":4,"source":"capabilities"},{"id":21,"guid":"21.capabilities","index":5,"source":"capabilities"},{"id":970,"guid":"970.smart_tags","index":6,"source":"smartTags"},{"id":112,"guid":"112.capabilities","index":7,"source":"capabilities"},{"id":122,"guid":"122.capabilities","index":8,"source":"capabilities"},{"id":1193,"guid":"1193.smart_tags","index":9,"source":"smartTags"},{"id":1202,"guid":"1202.smart_tags","index":10,"source":"smartTags"},{"id":1206,"guid":"1206.smart_tags","index":11,"source":"smartTags"},{"id":1223,"guid":"1223.smart_tags","index":12,"source":"smartTags"},{"id":133,"guid":"133.capabilities","index":13,"source":"capabilities"}],"is_active":true,"last_name":"Dwyer","nick_name":"Lisa","clerkships":[],"first_name":"Lisa","title_rank":9999,"updated_by":202,"law_schools":[{"id":753,"meta":{"degree":"J.D.","honors":"honors","is_law_school":"1","graduation_date":"1998-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"M.","name_suffix":"","recognitions":[{"title":"Next Generation Lawyer","detail":"Legal 500, 2017 and 2019"},{"title":"Recognition for Government Relations ","detail":"Legal 500, 2016"},{"title":"FDA Commissioner’s Special Citation, Issuance of the Draft Guidance for Laboratory Developed Tests ","detail":"FDA Award Ceremony, 2015"},{"title":"FDA Group Recognition Award, Publishing FDA Strategic Priorities 2014–2018 Document","detail":"FDA Award Ceremony, 2015"},{"title":"FDA Commissioner’s Special Citation, Issuance of the Unique Device Identification (UDI) System Final Rule ","detail":"FDA Award Ceremony, 2014"},{"title":"FDA Group Recognition Award, FDA Language Access Plan Working Group","detail":"FDA Award Ceremony, 2014"},{"title":"FDA Group Recognition Award, Good Guidance Practices-Best Practices Working Group (Group Leader)","detail":"FDA Award Ceremony, 2012"},{"title":"FDA Group Recognition Award, Menu Labeling Working Group","detail":"CFSAN/FDA Award Ceremony, 2011"}],"linked_in_url":null,"seodescription":null,"primary_title_id":15,"translated_fields":{"en":{"bio":"\u003cp\u003eA partner in our FDA and Life Sciences practice, Lisa has almost 25\u0026nbsp;years of experience developing regulatory, legislative and litigation solutions for companies selling FDA-regulated products (i.e., drugs, devices, biologics, cosmetics, and tobacco). \u0026nbsp;She has served as an advisor to high-level public officials and C-suite executives on complex regulatory, policy, and litigation issues.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePreviously, Lisa served as a Senior Policy Advisor in the FDA Commissioner\u0026rsquo;s Office and as the Deputy Chief of Staff to the Commissioner of Food and Drugs. In these roles, she provided strategic counsel on the agency\u0026rsquo;s most significant and complex issues. These included off-label marketing, mobile medical apps/digital health, opioid misuse and abuse, in vitro diagnostics and next generation sequencing, cosmetic legislation and regulation, and antimicrobial drug development and use. During her tenure at the FDA, she also worked closely with Congress, the Department of Health and Human Services, the National Institutes of Health (NIH), the Centers for Disease Control and Prevention (CDC) and the Drug Enforcement Administration (DEA).\u003c/p\u003e\n\u003cp\u003eLisa is a frequent author and speaker on topics including:\u0026nbsp; digital health, advertising and promoting drugs and devices, remedying unfair competition in the drug and device space, women\u0026rsquo;s health issues, admissibility of 510(k)s in product liability lawsuits, preemption, in vitro diagnostics, the 21st Century Cures Act, and other topics. 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Legal 500 has distinguished her for her expertise in digital health/AI and in pre-market strategies, and praised for her \u0026ldquo;unending enthusiasm to take on client\u0026rsquo;s causes as her own.\"\u003c/p\u003e","matters":["\u003cp\u003eFocus on Digital Health/Telehealth\u003c/p\u003e","\u003cp\u003eFocus on In Vitro Diagnostic Tests and Laboratory Developed Tests\u003c/p\u003e","\u003cp\u003eFDA/FTC regulation of advertising and promotion\u003c/p\u003e","\u003cp\u003ePre-market development (drugs and devices (including digital health products))\u003c/p\u003e","\u003cp\u003eFDA product submissions (drugs and devices (including digital health products))\u003c/p\u003e","\u003cp\u003eDevelops regulatory, legislative and litigation solutions for unfair competition in the drug/device space\u003c/p\u003e\n\u003cp\u003e- Lanham Act\u003c/p\u003e\n\u003cp\u003e- Unfair trade practice statutes (state and federal)\u003c/p\u003e","\u003cp\u003eEngages FDA and Congress on key issues 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2014"},{"title":"FDA Group Recognition Award, FDA Language Access Plan Working Group","detail":"FDA Award Ceremony, 2014"},{"title":"FDA Group Recognition Award, Good Guidance Practices-Best Practices Working Group (Group Leader)","detail":"FDA Award Ceremony, 2012"},{"title":"FDA Group Recognition Award, Menu Labeling Working Group","detail":"CFSAN/FDA Award Ceremony, 2011"}]},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":11487}]},"capability_group_id":2},"created_at":"2025-07-09T20:54:25.000Z","updated_at":"2025-07-09T20:54:25.000Z","searchable_text":"Dwyer{{ FIELD }}{:title=\u0026gt;\"Next Generation Lawyer\", :detail=\u0026gt;\"Legal 500, 2017 and 2019\"}{{ FIELD }}{:title=\u0026gt;\"Recognition for Government Relations \", :detail=\u0026gt;\"Legal 500, 2016\"}{{ FIELD }}{:title=\u0026gt;\"FDA Commissioner’s Special Citation, Issuance of the Draft Guidance for Laboratory Developed Tests \", :detail=\u0026gt;\"FDA Award Ceremony, 2015\"}{{ FIELD }}{:title=\u0026gt;\"FDA Group Recognition Award, Publishing FDA Strategic Priorities 2014–2018 Document\", :detail=\u0026gt;\"FDA Award Ceremony, 2015\"}{{ FIELD }}{:title=\u0026gt;\"FDA Commissioner’s Special Citation, Issuance of the Unique Device Identification (UDI) System Final Rule \", :detail=\u0026gt;\"FDA Award Ceremony, 2014\"}{{ FIELD }}{:title=\u0026gt;\"FDA Group Recognition Award, FDA Language Access Plan Working Group\", :detail=\u0026gt;\"FDA Award Ceremony, 2014\"}{{ FIELD }}{:title=\u0026gt;\"FDA Group Recognition Award, Good Guidance Practices-Best Practices Working Group (Group Leader)\", :detail=\u0026gt;\"FDA Award Ceremony, 2012\"}{{ FIELD }}{:title=\u0026gt;\"FDA Group Recognition Award, Menu Labeling Working Group\", :detail=\u0026gt;\"CFSAN/FDA Award Ceremony, 2011\"}{{ FIELD }}Focus on Digital Health/Telehealth{{ FIELD }}Focus on In Vitro Diagnostic Tests and Laboratory Developed Tests{{ FIELD }}FDA/FTC regulation of advertising and promotion{{ FIELD }}Pre-market development (drugs and devices (including digital health products)){{ FIELD }}FDA product submissions (drugs and devices (including digital health products)){{ FIELD }}Develops regulatory, legislative and litigation solutions for unfair competition in the drug/device space\n- Lanham Act\n- Unfair trade practice statutes (state and federal){{ FIELD }}Engages FDA and Congress on key issues related to FDA-regulated products{{ FIELD }}Responds to FDA/FTC inquires, FDA warning letters, and FDA 483s{{ FIELD }}Experience remedying cGMP issues at facilities making OTC and Rx drugs and cosmetics{{ FIELD }}Co-Chairs Women's Health Initiative{{ FIELD }}Member of Cannabis Steering Committee{{ FIELD }}A partner in our FDA and Life Sciences practice, Lisa has almost 25 years of experience developing regulatory, legislative and litigation solutions for companies selling FDA-regulated products (i.e., drugs, devices, biologics, cosmetics, and tobacco).  She has served as an advisor to high-level public officials and C-suite executives on complex regulatory, policy, and litigation issues.\nPreviously, Lisa served as a Senior Policy Advisor in the FDA Commissioner’s Office and as the Deputy Chief of Staff to the Commissioner of Food and Drugs. In these roles, she provided strategic counsel on the agency’s most significant and complex issues. These included off-label marketing, mobile medical apps/digital health, opioid misuse and abuse, in vitro diagnostics and next generation sequencing, cosmetic legislation and regulation, and antimicrobial drug development and use. During her tenure at the FDA, she also worked closely with Congress, the Department of Health and Human Services, the National Institutes of Health (NIH), the Centers for Disease Control and Prevention (CDC) and the Drug Enforcement Administration (DEA).\nLisa is a frequent author and speaker on topics including:  digital health, advertising and promoting drugs and devices, remedying unfair competition in the drug and device space, women’s health issues, admissibility of 510(k)s in product liability lawsuits, preemption, in vitro diagnostics, the 21st Century Cures Act, and other topics. Lisa is Chambers ranked for Pharmaceutical/Medical Products Law. She also has been repeatedly recognized by Legal 500 as a Next Generation Partner and as a Recommended Key Lawyer for FDA Regulatory Law (2017, 2019, 2020, 2021, 2022, 2023, 2024) and for Government Relations (2016). Legal 500 has distinguished her for her expertise in digital health/AI and in pre-market strategies, and praised for her “unending enthusiasm to take on client’s causes as her own.\" Lisa M Dwyer Partner Next Generation Lawyer Legal 500, 2017 and 2019 Recognition for Government Relations  Legal 500, 2016 FDA Commissioner’s Special Citation, Issuance of the Draft Guidance for Laboratory Developed Tests  FDA Award Ceremony, 2015 FDA Group Recognition Award, Publishing FDA Strategic Priorities 2014–2018 Document FDA Award Ceremony, 2015 FDA Commissioner’s Special Citation, Issuance of the Unique Device Identification (UDI) System Final Rule  FDA Award Ceremony, 2014 FDA Group Recognition Award, FDA Language Access Plan Working Group FDA Award Ceremony, 2014 FDA Group Recognition Award, Good Guidance Practices-Best Practices Working Group (Group Leader) FDA Award Ceremony, 2012 FDA Group Recognition Award, Menu Labeling Working Group CFSAN/FDA Award Ceremony, 2011 Wesleyan University  George Washington University George Washington University Law School District of Columbia Massachusetts Pennsylvania Focus on Digital Health/Telehealth Focus on In Vitro Diagnostic Tests and Laboratory Developed Tests FDA/FTC regulation of advertising and promotion Pre-market development (drugs and devices (including digital health products)) FDA product submissions (drugs and devices (including digital health products)) Develops regulatory, legislative and litigation solutions for unfair competition in the drug/device space\n- Lanham Act\n- Unfair trade practice statutes (state and federal) Engages FDA and Congress on key issues related to FDA-regulated products Responds to FDA/FTC inquires, FDA warning letters, and FDA 483s Experience remedying cGMP issues at facilities making OTC and Rx drugs and cosmetics Co-Chairs Women's Health Initiative Member of Cannabis Steering Committee","searchable_name":"Lisa M. Dwyer","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":442773,"version":1,"owner_type":"Person","owner_id":5374,"payload":{"bio":"\u003cp\u003eShas advises clients on U.S economic/trade sanctions (OFAC), anti-money laundering requirements, and export control regulations.\u0026nbsp; In addition, Shas has vast expertise, both from his time in government and private practice,\u0026nbsp;advising on\u0026nbsp;a\u0026nbsp;range of regulatory and compliance issues facing\u0026nbsp;banks, hedge funds, investment advisors,\u0026nbsp;mutual funds, and accounting firms.\u0026nbsp; Shas has experience representing clients before OFAC, USTR, Commerce (BIS), SEC, PCAOB, FINRA, and the OCC.\u0026nbsp; His clients include large financial institutions, Fintech companies, and multi-national manufacturers and distributors.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePrior to joining the firm, Shas had a long career in US government and quasi-government agencies where he served in numerous senior level positions, including: Associate Director at the Public Company Accounting Oversight Board (PCAOB), Senior Sanctions Advisor at OFAC, and Senior Counsel at the US Securities \u0026amp; Exchange Commission and Federal Reserve Board. Shas also served as the head of the compliance examinations unit at Legg Mason, a global asset management firm.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAs an Associate Director at the PCAOB,\u0026nbsp;Shas negotiated numerous bilateral agreements with foreign regulators providing for cross-border audit oversight and represented the PCAOB in meetings with international audit standard setters. In particular, Shas was instrumental in negotiating an agreement with the Chinese authorities (CSRC and Ministry of Finance) on cross-border enforcement cooperation in 2013. He also participated in a short term secondment at the OECD, where he assisted its Corporate Affairs Division in updating its Principles of Corporate Governance (adopted by the G-20).\u003c/p\u003e\n\u003cp\u003eIn a prior capacity as a Senior Sanctions Advisor, Shas served as the Office of Foreign Asset Control\u0026rsquo;s primary liaison to the securities industry. While at OFAC, he developed compliance guidance for the securities industry, provided subject-matter expertise on securities- and banking-related matters, prepared recommendations regarding appropriate OFAC responses to potential violations of sanctions requirements by financial institutions, and presented at more than 40 conferences throughout the US on compliance with U.S. economic and trade sanctions. During the height of the financial crisis, while at the US Treasury Department, Shas participated in both the development and implementation of the Dodd-Frank Act. Among other areas, Shas\u0026nbsp;helped develop the US Treasury Department\u0026rsquo;s determination on whether to exempt foreign exchange swaps and forwards from the Commodity Exchange Act; he also helped develop the criteria for determining the designations of non-bank SIFIs.\u003c/p\u003e\n\u003cp\u003eEarlier in his career, as counsel in the Banking Supervision and Regulation Division of the Federal Reserve Board, he served as one of the lead lawyers on a seminal enforcement action brought against a global financial institution for violations of OFAC sanctions as well as deficiencies in its anti-money laundering program. This settled action marked the first in a series of actions brought by US regulators and law enforcement agencies against global foreign banking entities for violations of OFAC regulations due to conduct involving the \u0026ldquo;stripping\u0026rdquo; of the identities of sanctions targets in the processing of dollar clearing wire transactions.\u003c/p\u003e\n\u003cp\u003e\u003cstrong\u003eEvents\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eSpeaker, \"SEC Virtual Conference 2022: An Accounting \u0026amp; Reporting Update for Public Companies\" (\"Hot Button Issues for Public Companies\"), The Center for Professional Education, Inc., Washington, DC, May 20, 2022\"\u003c/li\u003e\n\u003cli\u003eSpeaker, Russian Sanctions - Business \u0026amp; Policy Implications, Electronic Transactions Associations, Washington, DC, March 9, 2022\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;OFAC Webinar: Back to the Basics for Small to Midsized Banks,\u0026rdquo; BSA Coalition, Federal Reserve Bank of Richmond, Richmond, VA,\u0026nbsp;April 24, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Conducting KYC of Third Parties - Best Practices for Conducting Due Diligence,\u0026rdquo; Virginia Bankers Association, Fairfax, VA, April 17, 2018\u003c/li\u003e\n\u003cli\u003ePanelist, International Sanctions Compliance, Association of Certified Anti-Money Laundering Specialists, New Castle, DE, February 26, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;The Challenges of Negotiating an Agreement with the Chinese Regulators on Cross-Border Audit Oversight,\u0026rdquo; China-US Business Alliance, New York City, January 23, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, Annual Anti-Money Laundering and Office of Foreign Assets Control Sanctions Year in Review, ACAMS Virginia Chapter Event, December 12, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Strategies for Effective Auditing and Due Diligence of Third Parties in China: Special Focus on Beneficial Ownership,\u0026rdquo; 8th Global Forum on Anti-Corruption Compliance in High Risk Markets, Washington, DC, July 25-26, 2017\u003c/li\u003e\n\u003cli\u003ePanelist, \u0026ldquo;Banking Compliance,\u0026rdquo; FCPA Roundtable Discussion, US-China Business Council (USCBC), Washington, DC, May 9, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Omnibus Accounts, Trusts and Other Unique Agreements Due Diligence Scenarios: How to Conduct Strong DD to Mitigate Your Risks,\u0026rdquo; Flagship Conference on Economic Sanctions Enforcement and Compliance, American Conference Institute, Mandarin Oriental Hotel, Washington, DC, April 24-26, 2017\u003c/li\u003e\n\u003cli\u003ePanelist, 2017 FCPA and Anti-Monopoly Enforcement Trends in China Roundtable Discussion,\u0026nbsp;US-China Business Council (USCBC), Washington, DC, April 5, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, Keynote Panel: Trump and Banking\u0026ndash;Predictions \u0026amp; Promises, 2017 Retail Banking Conference, at the Trump National Doral Miami Hotel in Miami, FL, March 22-24, 2017\u003c/li\u003e\n\u003cli\u003eWebinar: Changes in Lease Accounting Standards \u0026amp; Impact on Credit Agreements, February 22, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Current Focus of US Regulators\u0026mdash;Hot Buttons \u0026amp; Cross Border Issues,\u0026rdquo; and \u0026ldquo;PCAOB \u0026amp; Auditing Developments,\u0026rdquo; SEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, CPE, Beijing, December 12-13, 2016\u003c/li\u003e\n\u003cli\u003ePanelist, Disclosure of Beneficial Ownership and Control in Asia: corporate practices, Asian Roundtable On Corporate Governance, OECD, October 25, 2016\u003c/li\u003e\n\u003cli\u003eSpeaker, EU Regulatory Equivalency, Cross-Border Inspections of Audit Firms in China, The Evolving Role of the Audit Committee and Other Developments Impacting Global Audit Quality, National Asian Pacific American Bar Association 2016 Southeast Regional Conference, Arlington, VA, September 30, 2016\u003c/li\u003e\n\u003cli\u003eSEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, Center for Professional Education, June 2016: speaker on three panels: \u0026ldquo;Recent Auditing Developments,\u0026rdquo; \u0026ldquo;Update on SEC Enforcement Initiatives for Asia-Based Companies,\u0026rdquo; and \u0026ldquo;Corporate Governance Best Practices \u0026amp; the Role of the Audit Committee\u0026rdquo; June 16, 2016\u003c/li\u003e\n\u003cli\u003eACAMS Richmond Chapter Event: When Goods Go Bad: Trade Based Money Laundering, May 2016\u003c/li\u003e\n\u003cli\u003eOECD\u0026rsquo;s Asian Roundtables on Corporate Governance, (co-sponsored with the securities regulators in India and Thailand), 2014 and 2015\u003c/li\u003e\n\u003cli\u003eWebcast - The PCAOB \u0026amp; China: The Latest Regulatory Developments, 2014\u003c/li\u003e\n\u003cli\u003eFinancial Markets Securities Compliance Seminar, 2009\u003c/li\u003e\n\u003cli\u003eAnti-Money Laundering III for Financial Institutions, 2008\u003c/li\u003e\n\u003cli\u003eFutures Industry Association Law and Compliance Workshop, 2008\u003c/li\u003e\n\u003c/ul\u003e\n\u003cp\u003e\u003cstrong\u003ePublications\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eCo-author, AML and Sanctions Compliance Issues Facing Cryptocurrency Companies,\u0026nbsp;\u003cem\u003eCrowdfund Insider\u003c/em\u003e, June 4, 2018\u003c/li\u003e\n\u003cli\u003eCo-author, \u0026ldquo;Recent Developments in the PCAOB\u0026rsquo;s Standard-Setting and Related Rulemaking Agenda,\u0026rdquo; Parts 1 and 2, in 38\u0026nbsp;\u003cem\u003eSec. \u0026amp; Fed. Corp. L. Rep.\u003c/em\u003e\u0026nbsp;No. 11, and 39\u0026nbsp;\u003cem\u003eSec. \u0026amp; Fed. Corp. L. Rep.\u003c/em\u003e\u0026nbsp;No. 1 (Thomson Reuters), edited by Sam Wolff, February 15, 2017\u003c/li\u003e\n\u003cli\u003eContributor, Sarbanes-Oxley Act in Perspective,\u0026nbsp;\u003cem\u003eThomson Reuters\u003c/em\u003e, 2017 edition\u003c/li\u003e\n\u003cli\u003eCo-author, Trump Administration\u0026rsquo;s Impact on Financial Regulation and the SEC,\u0026nbsp;\u003cem\u003eLaw360\u003c/em\u003e, November 23, 2016\u003c/li\u003e\n\u003c/ul\u003e\n\u003cp\u003e\u003cstrong\u003eAlerts\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eTrump Administration Issues New Executive Order Against Venezuela to Prevent a \u0026ldquo;Fire Sale\u0026rdquo; Liquidation of Venezuela\u0026rsquo;s Critical Assets, May 23, 2018\u003c/li\u003e\n\u003cli\u003eForeign Investment in the US: An Overview of CFIUS, February 15, 2018\u003c/li\u003e\n\u003cli\u003eAttorney General Jeff Sessions Announces Return to Traditional Guidelines for Prosecuting Marijuana Crimes; Rescinds Cole Memo Referenced in FinCEN Guidance, January 16, 2018\u003c/li\u003e\n\u003cli\u003eNew CFIUS Legislation Proposed in Response to Chinese Investment, November 28, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Warns Banks on North Korean Schemes to Evade Sanctions, November 8, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Expands Its Geographic Targeting Orders and Issues Related Advisory, August 30, 2017\u003c/li\u003e\n\u003cli\u003eOFAC Announces $12 Million Settlement to Resolve Enforcement Action Against Non-US Companies Using US Dollars to Do Business With Iran, August 17, 2017\u003c/li\u003e\n\u003cli\u003ePCAOB Adopts New Audit Reporting Model, July 12, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Issues Advisory on SAR Reporting Obligations Involving Cyber Crime, November 7, 2016\u003c/li\u003e\n\u003cli\u003eFinCEN Expands Customer Due Diligence Requirements, June 22, 2016\u003c/li\u003e\n\u003cli\u003ePCAOB Reproposes Standards Relating to Auditor\u0026rsquo;s Reporting Model \u0026ndash; Narrows Scope of \u0026ldquo;Critical Audit Matters\u0026rdquo; and Drops \u0026ldquo;Other Information\u0026rdquo; Requirement, June 8, 2016\u003c/li\u003e\n\u003cli\u003ePCAOB Adopts New Audit Firm Disclosure Rules, May 17, 2016\u003c/li\u003e\n\u003c/ul\u003e","slug":"shaswat-das","email":"sdas@kslaw.com","phone":null,"matters":["\u003cp\u003ePrepared sanctions/export controls policies and conducted relevant sanctions/export controls training for largest private charter airline;\u003c/p\u003e","\u003cp\u003eProvided sanctions/AML guidance for first ever NFT real estate auction;\u003c/p\u003e","\u003cp\u003eSuccessfully represented non-U.S. based offshore operator of vessels before the U.S. State Department and other U.S. government agencies, in response to possible sanctions in connection with Nord Stream 2 Project;\u003c/p\u003e","\u003cp\u003eObtained favorable cautionary letter from OFAC on behalf of bank when the bank had been the subject of a cautionary letter only eight months earlier;\u003c/p\u003e","\u003cp\u003eAdvised marketing automation platform on sanctions-related matters in connection with largest sale of a private marketing software company in U.S. history;\u003c/p\u003e","\u003cp\u003eAdvised global wealth manager on multi-faceted project designed to assess relevant sanctions risk/exposure and assist the bank disassociate itself from high-risk Russia-related client accounts;\u003c/p\u003e","\u003cp\u003eAssisted multiple U.S. companies divest their interests in Russian operating companies or joint ventures;\u003c/p\u003e","\u003cp\u003eCoordinate internal and external responses to investigations by OFAC;\u0026nbsp;\u003c/p\u003e","\u003cp\u003eRepresent companies in the Fintech industry with respect to economic sanctions compliance and counseling;\u003c/p\u003e","\u003cp\u003eAdvised multi-national oil refinery on compliance with OFAC requirements in light of PdVSA designation;\u0026nbsp;\u003c/p\u003e","\u003cp\u003eAdvised clients in pharmaceutical and medical device industries navigate economic/sanctions regulations;\u003c/p\u003e","\u003cp\u003eAdvised large foreign airlines on U.S. sanctions obligations, including application of secondary sanctions;\u003c/p\u003e","\u003cp\u003eAdvised large, multi-national airline manufacturer on beneficial ownership obligations under the Bank Secrecy Act and OFAC regulations;\u003c/p\u003e","\u003cp\u003eReviewed OFAC and AML representations and warranties in U.S. and offshore fund formation and private placement agreements;\u003c/p\u003e","\u003cp\u003eRepresented a Texas-based bank in response to an Administrative Subpoena issued by OFAC regarding a funds/wire transfer in connection with the delivery of certain medical-related software for the benefit of an Iranian entity. The matter was favorably resolved for the client as OFAC issued a \u0026ldquo;no-action\u0026rdquo; letter upon the completion of its investigation and after reviewing our response;\u003c/p\u003e","\u003cp\u003eCounseled investment firm, specializing in investments in energy-related projects, on the applicability of US sanctions toward Venezuela with respect to a transaction involving payments to a Venezuelan entity (majority-owned by PdVSA) in US dollars for the extraction and sale of Venezuelan natural resources;\u003c/p\u003e","\u003cp\u003eAdvised large multi-national beverage company and its subsidiaries regarding the applicability of US sanctions with respect to its proposed business transactions in Venezuela and Cuba, including helping to obtain favorable interpretive guidance;\u003c/p\u003e","\u003cp\u003eCounseled large multi-national payment processor based in Latin America with respect to the application of US sanctions to its global operations;\u003c/p\u003e","\u003cp\u003eConducted due diligence for community bank as part of capital raising efforts;\u003c/p\u003e","\u003cp\u003eEvaluated proposed joint venture arrangements to assess compliance with US sanctions requirements;\u003c/p\u003e","\u003cp\u003eConducted AML and sanctions reviews in the context of mergers and acquisition, lending arrangements, and repurchase transactions;\u003c/p\u003e","\u003cp\u003eConducted analysis of client risk due to client activity in sanctioned countries and other high risk countries. Assist in developing a comprehensive cross-business view of AML and sanctions risk;\u003c/p\u003e","\u003cp\u003eDeveloped AML/sanctions compliance program for a provider of prepaid access utilizing toll road transponder devices, and conducted a risk assessment to create targeted procedures and internal controls;\u003c/p\u003e","\u003cp\u003eEvaluated AML and OFAC obligations of foreign bank client extending margin loans to non-US customers of a US introducing broker;\u003c/p\u003e","\u003cp\u003eAdvised on application of BSA/AML/Sanctions requirements to entities in diverse industries including telecommunications, investment companies and hedge funds; residential mortgage loan originators (RMLOs), and public REITS in cross border ventures;\u003c/p\u003e","\u003cp\u003eAdvised on US sanctions-related and export control issues involving the sale of goods by a European-based client with US subsidiaries to a Russian buyer;\u003c/p\u003e","\u003cp\u003eAddressed CIP and sanctions related issues raised by cash pooling arrangement for a large multi-national company;\u003c/p\u003e","\u003cp\u003ePrepared legal opinion on foreign based company\u0026rsquo;s proposed business expansion in sanctioned countries and US regulatory implications;\u003c/p\u003e","\u003cp\u003eSuccessfully obtained commodity classification determinations from US Department of Commerce on behalf of bio-tech client;\u003c/p\u003e","\u003cp\u003eAdvised large financial services company on export control requirements and implications relating to migration to organization-wide office suite/technology with data servers located outside of the US. Raised important \u0026ldquo;cloud computing\u0026rdquo; issues;\u003c/p\u003e","\u003cp\u003ePrepared comment letters on behalf of large trade association on various SEC rulemakings;\u003c/p\u003e","\u003cp\u003eAdvised on Rule 144A and Regulation S offering;\u003c/p\u003e","\u003cp\u003eRepresented PCAOB-registered accounting firm facing disciplinary action involving cross-border access to audit work papers;\u003c/p\u003e","\u003cp\u003eCounseled developer of search engine on AML/OFAC obligations of financial institutions;\u003c/p\u003e","\u003cp\u003eAdvised multi-national global industrial firm on compliance with Ukraine/Russian sanctions;\u003c/p\u003e","\u003cp\u003eAssisted multiple clients with obtaining exclusions from the Section 232 tariffs (BIS) imposed on steel/aluminum;\u003c/p\u003e","\u003cp\u003eAdvised clients on the application and impact of Section 301 tariffs (USTR);\u003c/p\u003e","\u003cp\u003eConducted US sanctions and PEP due diligence on behalf of client/buyer of real estate property in New York;\u003c/p\u003e","\u003cp\u003eObtained favorable determination that cryptocurrency company preparing an ICO did not need to register as an \"MSB\" under state law;\u003c/p\u003e","\u003cp\u003eRepresented medical/research center in response to FINRA request for information relating to possible insider trading violations.\u003c/p\u003e"],"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":25,"guid":"25.capabilities","index":0,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":1,"source":"capabilities"},{"id":20,"guid":"20.capabilities","index":2,"source":"capabilities"},{"id":27,"guid":"27.capabilities","index":3,"source":"capabilities"},{"id":107,"guid":"107.capabilities","index":4,"source":"capabilities"},{"id":699,"guid":"699.smart_tags","index":5,"source":"smartTags"},{"id":109,"guid":"109.capabilities","index":6,"source":"capabilities"},{"id":1188,"guid":"1188.smart_tags","index":7,"source":"smartTags"},{"id":128,"guid":"128.capabilities","index":8,"source":"capabilities"},{"id":579,"guid":"579.smart_tags","index":9,"source":"smartTags"},{"id":803,"guid":"803.smart_tags","index":10,"source":"smartTags"},{"id":1327,"guid":"1327.smart_tags","index":11,"source":"smartTags"},{"id":1330,"guid":"1330.smart_tags","index":12,"source":"smartTags"}],"is_active":true,"last_name":"Das","nick_name":"Shaswat","clerkships":[],"first_name":"Shaswat","title_rank":9999,"updated_by":202,"law_schools":[{"id":1430,"meta":{"degree":"J.D.","honors":null,"is_law_school":1,"graduation_date":"1994-01-01 00:00:00 UTC"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"K.","name_suffix":"","recognitions":[{"title":"SEC Capital Markets Award, September 11, 2001","detail":"U.S. Securities and Exchange Commission"}],"linked_in_url":null,"seodescription":null,"primary_title_id":14,"translated_fields":{"en":{"bio":"\u003cp\u003eShas advises clients on U.S economic/trade sanctions (OFAC), anti-money laundering requirements, and export control regulations.\u0026nbsp; In addition, Shas has vast expertise, both from his time in government and private practice,\u0026nbsp;advising on\u0026nbsp;a\u0026nbsp;range of regulatory and compliance issues facing\u0026nbsp;banks, hedge funds, investment advisors,\u0026nbsp;mutual funds, and accounting firms.\u0026nbsp; Shas has experience representing clients before OFAC, USTR, Commerce (BIS), SEC, PCAOB, FINRA, and the OCC.\u0026nbsp; His clients include large financial institutions, Fintech companies, and multi-national manufacturers and distributors.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePrior to joining the firm, Shas had a long career in US government and quasi-government agencies where he served in numerous senior level positions, including: Associate Director at the Public Company Accounting Oversight Board (PCAOB), Senior Sanctions Advisor at OFAC, and Senior Counsel at the US Securities \u0026amp; Exchange Commission and Federal Reserve Board. Shas also served as the head of the compliance examinations unit at Legg Mason, a global asset management firm.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAs an Associate Director at the PCAOB,\u0026nbsp;Shas negotiated numerous bilateral agreements with foreign regulators providing for cross-border audit oversight and represented the PCAOB in meetings with international audit standard setters. In particular, Shas was instrumental in negotiating an agreement with the Chinese authorities (CSRC and Ministry of Finance) on cross-border enforcement cooperation in 2013. He also participated in a short term secondment at the OECD, where he assisted its Corporate Affairs Division in updating its Principles of Corporate Governance (adopted by the G-20).\u003c/p\u003e\n\u003cp\u003eIn a prior capacity as a Senior Sanctions Advisor, Shas served as the Office of Foreign Asset Control\u0026rsquo;s primary liaison to the securities industry. While at OFAC, he developed compliance guidance for the securities industry, provided subject-matter expertise on securities- and banking-related matters, prepared recommendations regarding appropriate OFAC responses to potential violations of sanctions requirements by financial institutions, and presented at more than 40 conferences throughout the US on compliance with U.S. economic and trade sanctions. During the height of the financial crisis, while at the US Treasury Department, Shas participated in both the development and implementation of the Dodd-Frank Act. Among other areas, Shas\u0026nbsp;helped develop the US Treasury Department\u0026rsquo;s determination on whether to exempt foreign exchange swaps and forwards from the Commodity Exchange Act; he also helped develop the criteria for determining the designations of non-bank SIFIs.\u003c/p\u003e\n\u003cp\u003eEarlier in his career, as counsel in the Banking Supervision and Regulation Division of the Federal Reserve Board, he served as one of the lead lawyers on a seminal enforcement action brought against a global financial institution for violations of OFAC sanctions as well as deficiencies in its anti-money laundering program. This settled action marked the first in a series of actions brought by US regulators and law enforcement agencies against global foreign banking entities for violations of OFAC regulations due to conduct involving the \u0026ldquo;stripping\u0026rdquo; of the identities of sanctions targets in the processing of dollar clearing wire transactions.\u003c/p\u003e\n\u003cp\u003e\u003cstrong\u003eEvents\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eSpeaker, \"SEC Virtual Conference 2022: An Accounting \u0026amp; Reporting Update for Public Companies\" (\"Hot Button Issues for Public Companies\"), The Center for Professional Education, Inc., Washington, DC, May 20, 2022\"\u003c/li\u003e\n\u003cli\u003eSpeaker, Russian Sanctions - Business \u0026amp; Policy Implications, Electronic Transactions Associations, Washington, DC, March 9, 2022\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;OFAC Webinar: Back to the Basics for Small to Midsized Banks,\u0026rdquo; BSA Coalition, Federal Reserve Bank of Richmond, Richmond, VA,\u0026nbsp;April 24, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Conducting KYC of Third Parties - Best Practices for Conducting Due Diligence,\u0026rdquo; Virginia Bankers Association, Fairfax, VA, April 17, 2018\u003c/li\u003e\n\u003cli\u003ePanelist, International Sanctions Compliance, Association of Certified Anti-Money Laundering Specialists, New Castle, DE, February 26, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;The Challenges of Negotiating an Agreement with the Chinese Regulators on Cross-Border Audit Oversight,\u0026rdquo; China-US Business Alliance, New York City, January 23, 2018\u003c/li\u003e\n\u003cli\u003eSpeaker, Annual Anti-Money Laundering and Office of Foreign Assets Control Sanctions Year in Review, ACAMS Virginia Chapter Event, December 12, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Strategies for Effective Auditing and Due Diligence of Third Parties in China: Special Focus on Beneficial Ownership,\u0026rdquo; 8th Global Forum on Anti-Corruption Compliance in High Risk Markets, Washington, DC, July 25-26, 2017\u003c/li\u003e\n\u003cli\u003ePanelist, \u0026ldquo;Banking Compliance,\u0026rdquo; FCPA Roundtable Discussion, US-China Business Council (USCBC), Washington, DC, May 9, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Omnibus Accounts, Trusts and Other Unique Agreements Due Diligence Scenarios: How to Conduct Strong DD to Mitigate Your Risks,\u0026rdquo; Flagship Conference on Economic Sanctions Enforcement and Compliance, American Conference Institute, Mandarin Oriental Hotel, Washington, DC, April 24-26, 2017\u003c/li\u003e\n\u003cli\u003ePanelist, 2017 FCPA and Anti-Monopoly Enforcement Trends in China Roundtable Discussion,\u0026nbsp;US-China Business Council (USCBC), Washington, DC, April 5, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, Keynote Panel: Trump and Banking\u0026ndash;Predictions \u0026amp; Promises, 2017 Retail Banking Conference, at the Trump National Doral Miami Hotel in Miami, FL, March 22-24, 2017\u003c/li\u003e\n\u003cli\u003eWebinar: Changes in Lease Accounting Standards \u0026amp; Impact on Credit Agreements, February 22, 2017\u003c/li\u003e\n\u003cli\u003eSpeaker, \u0026ldquo;Current Focus of US Regulators\u0026mdash;Hot Buttons \u0026amp; Cross Border Issues,\u0026rdquo; and \u0026ldquo;PCAOB \u0026amp; Auditing Developments,\u0026rdquo; SEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, CPE, Beijing, December 12-13, 2016\u003c/li\u003e\n\u003cli\u003ePanelist, Disclosure of Beneficial Ownership and Control in Asia: corporate practices, Asian Roundtable On Corporate Governance, OECD, October 25, 2016\u003c/li\u003e\n\u003cli\u003eSpeaker, EU Regulatory Equivalency, Cross-Border Inspections of Audit Firms in China, The Evolving Role of the Audit Committee and Other Developments Impacting Global Audit Quality, National Asian Pacific American Bar Association 2016 Southeast Regional Conference, Arlington, VA, September 30, 2016\u003c/li\u003e\n\u003cli\u003eSEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, Center for Professional Education, June 2016: speaker on three panels: \u0026ldquo;Recent Auditing Developments,\u0026rdquo; \u0026ldquo;Update on SEC Enforcement Initiatives for Asia-Based Companies,\u0026rdquo; and \u0026ldquo;Corporate Governance Best Practices \u0026amp; the Role of the Audit Committee\u0026rdquo; June 16, 2016\u003c/li\u003e\n\u003cli\u003eACAMS Richmond Chapter Event: When Goods Go Bad: Trade Based Money Laundering, May 2016\u003c/li\u003e\n\u003cli\u003eOECD\u0026rsquo;s Asian Roundtables on Corporate Governance, (co-sponsored with the securities regulators in India and Thailand), 2014 and 2015\u003c/li\u003e\n\u003cli\u003eWebcast - The PCAOB \u0026amp; China: The Latest Regulatory Developments, 2014\u003c/li\u003e\n\u003cli\u003eFinancial Markets Securities Compliance Seminar, 2009\u003c/li\u003e\n\u003cli\u003eAnti-Money Laundering III for Financial Institutions, 2008\u003c/li\u003e\n\u003cli\u003eFutures Industry Association Law and Compliance Workshop, 2008\u003c/li\u003e\n\u003c/ul\u003e\n\u003cp\u003e\u003cstrong\u003ePublications\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eCo-author, AML and Sanctions Compliance Issues Facing Cryptocurrency Companies,\u0026nbsp;\u003cem\u003eCrowdfund Insider\u003c/em\u003e, June 4, 2018\u003c/li\u003e\n\u003cli\u003eCo-author, \u0026ldquo;Recent Developments in the PCAOB\u0026rsquo;s Standard-Setting and Related Rulemaking Agenda,\u0026rdquo; Parts 1 and 2, in 38\u0026nbsp;\u003cem\u003eSec. \u0026amp; Fed. Corp. L. Rep.\u003c/em\u003e\u0026nbsp;No. 11, and 39\u0026nbsp;\u003cem\u003eSec. \u0026amp; Fed. Corp. L. Rep.\u003c/em\u003e\u0026nbsp;No. 1 (Thomson Reuters), edited by Sam Wolff, February 15, 2017\u003c/li\u003e\n\u003cli\u003eContributor, Sarbanes-Oxley Act in Perspective,\u0026nbsp;\u003cem\u003eThomson Reuters\u003c/em\u003e, 2017 edition\u003c/li\u003e\n\u003cli\u003eCo-author, Trump Administration\u0026rsquo;s Impact on Financial Regulation and the SEC,\u0026nbsp;\u003cem\u003eLaw360\u003c/em\u003e, November 23, 2016\u003c/li\u003e\n\u003c/ul\u003e\n\u003cp\u003e\u003cstrong\u003eAlerts\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eTrump Administration Issues New Executive Order Against Venezuela to Prevent a \u0026ldquo;Fire Sale\u0026rdquo; Liquidation of Venezuela\u0026rsquo;s Critical Assets, May 23, 2018\u003c/li\u003e\n\u003cli\u003eForeign Investment in the US: An Overview of CFIUS, February 15, 2018\u003c/li\u003e\n\u003cli\u003eAttorney General Jeff Sessions Announces Return to Traditional Guidelines for Prosecuting Marijuana Crimes; Rescinds Cole Memo Referenced in FinCEN Guidance, January 16, 2018\u003c/li\u003e\n\u003cli\u003eNew CFIUS Legislation Proposed in Response to Chinese Investment, November 28, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Warns Banks on North Korean Schemes to Evade Sanctions, November 8, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Expands Its Geographic Targeting Orders and Issues Related Advisory, August 30, 2017\u003c/li\u003e\n\u003cli\u003eOFAC Announces $12 Million Settlement to Resolve Enforcement Action Against Non-US Companies Using US Dollars to Do Business With Iran, August 17, 2017\u003c/li\u003e\n\u003cli\u003ePCAOB Adopts New Audit Reporting Model, July 12, 2017\u003c/li\u003e\n\u003cli\u003eFinCEN Issues Advisory on SAR Reporting Obligations Involving Cyber Crime, November 7, 2016\u003c/li\u003e\n\u003cli\u003eFinCEN Expands Customer Due Diligence Requirements, June 22, 2016\u003c/li\u003e\n\u003cli\u003ePCAOB Reproposes Standards Relating to Auditor\u0026rsquo;s Reporting Model \u0026ndash; Narrows Scope of \u0026ldquo;Critical Audit Matters\u0026rdquo; and Drops \u0026ldquo;Other Information\u0026rdquo; Requirement, June 8, 2016\u003c/li\u003e\n\u003cli\u003ePCAOB Adopts New Audit Firm Disclosure Rules, May 17, 2016\u003c/li\u003e\n\u003c/ul\u003e","matters":["\u003cp\u003ePrepared sanctions/export controls policies and conducted relevant sanctions/export controls training for largest private charter airline;\u003c/p\u003e","\u003cp\u003eProvided sanctions/AML guidance for first ever NFT real estate auction;\u003c/p\u003e","\u003cp\u003eSuccessfully represented non-U.S. based offshore operator of vessels before the U.S. State Department and other U.S. government agencies, in response to possible sanctions in connection with Nord Stream 2 Project;\u003c/p\u003e","\u003cp\u003eObtained favorable cautionary letter from OFAC on behalf of bank when the bank had been the subject of a cautionary letter only eight months earlier;\u003c/p\u003e","\u003cp\u003eAdvised marketing automation platform on sanctions-related matters in connection with largest sale of a private marketing software company in U.S. history;\u003c/p\u003e","\u003cp\u003eAdvised global wealth manager on multi-faceted project designed to assess relevant sanctions risk/exposure and assist the bank disassociate itself from high-risk Russia-related client accounts;\u003c/p\u003e","\u003cp\u003eAssisted multiple U.S. companies divest their interests in Russian operating companies or joint ventures;\u003c/p\u003e","\u003cp\u003eCoordinate internal and external responses to investigations by OFAC;\u0026nbsp;\u003c/p\u003e","\u003cp\u003eRepresent companies in the Fintech industry with respect to economic sanctions compliance and counseling;\u003c/p\u003e","\u003cp\u003eAdvised multi-national oil refinery on compliance with OFAC requirements in light of PdVSA designation;\u0026nbsp;\u003c/p\u003e","\u003cp\u003eAdvised clients in pharmaceutical and medical device industries navigate economic/sanctions regulations;\u003c/p\u003e","\u003cp\u003eAdvised large foreign airlines on U.S. sanctions obligations, including application of secondary sanctions;\u003c/p\u003e","\u003cp\u003eAdvised large, multi-national airline manufacturer on beneficial ownership obligations under the Bank Secrecy Act and OFAC regulations;\u003c/p\u003e","\u003cp\u003eReviewed OFAC and AML representations and warranties in U.S. and offshore fund formation and private placement agreements;\u003c/p\u003e","\u003cp\u003eRepresented a Texas-based bank in response to an Administrative Subpoena issued by OFAC regarding a funds/wire transfer in connection with the delivery of certain medical-related software for the benefit of an Iranian entity. The matter was favorably resolved for the client as OFAC issued a \u0026ldquo;no-action\u0026rdquo; letter upon the completion of its investigation and after reviewing our response;\u003c/p\u003e","\u003cp\u003eCounseled investment firm, specializing in investments in energy-related projects, on the applicability of US sanctions toward Venezuela with respect to a transaction involving payments to a Venezuelan entity (majority-owned by PdVSA) in US dollars for the extraction and sale of Venezuelan natural resources;\u003c/p\u003e","\u003cp\u003eAdvised large multi-national beverage company and its subsidiaries regarding the applicability of US sanctions with respect to its proposed business transactions in Venezuela and Cuba, including helping to obtain favorable interpretive guidance;\u003c/p\u003e","\u003cp\u003eCounseled large multi-national payment processor based in Latin America with respect to the application of US sanctions to its global operations;\u003c/p\u003e","\u003cp\u003eConducted due diligence for community bank as part of capital raising efforts;\u003c/p\u003e","\u003cp\u003eEvaluated proposed joint venture arrangements to assess compliance with US sanctions requirements;\u003c/p\u003e","\u003cp\u003eConducted AML and sanctions reviews in the context of mergers and acquisition, lending arrangements, and repurchase transactions;\u003c/p\u003e","\u003cp\u003eConducted analysis of client risk due to client activity in sanctioned countries and other high risk countries. Assist in developing a comprehensive cross-business view of AML and sanctions risk;\u003c/p\u003e","\u003cp\u003eDeveloped AML/sanctions compliance program for a provider of prepaid access utilizing toll road transponder devices, and conducted a risk assessment to create targeted procedures and internal controls;\u003c/p\u003e","\u003cp\u003eEvaluated AML and OFAC obligations of foreign bank client extending margin loans to non-US customers of a US introducing broker;\u003c/p\u003e","\u003cp\u003eAdvised on application of BSA/AML/Sanctions requirements to entities in diverse industries including telecommunications, investment companies and hedge funds; residential mortgage loan originators (RMLOs), and public REITS in cross border ventures;\u003c/p\u003e","\u003cp\u003eAdvised on US sanctions-related and export control issues involving the sale of goods by a European-based client with US subsidiaries to a Russian buyer;\u003c/p\u003e","\u003cp\u003eAddressed CIP and sanctions related issues raised by cash pooling arrangement for a large multi-national company;\u003c/p\u003e","\u003cp\u003ePrepared legal opinion on foreign based company\u0026rsquo;s proposed business expansion in sanctioned countries and US regulatory implications;\u003c/p\u003e","\u003cp\u003eSuccessfully obtained commodity classification determinations from US Department of Commerce on behalf of bio-tech client;\u003c/p\u003e","\u003cp\u003eAdvised large financial services company on export control requirements and implications relating to migration to organization-wide office suite/technology with data servers located outside of the US. Raised important \u0026ldquo;cloud computing\u0026rdquo; issues;\u003c/p\u003e","\u003cp\u003ePrepared comment letters on behalf of large trade association on various SEC rulemakings;\u003c/p\u003e","\u003cp\u003eAdvised on Rule 144A and Regulation S offering;\u003c/p\u003e","\u003cp\u003eRepresented PCAOB-registered accounting firm facing disciplinary action involving cross-border access to audit work papers;\u003c/p\u003e","\u003cp\u003eCounseled developer of search engine on AML/OFAC obligations of financial institutions;\u003c/p\u003e","\u003cp\u003eAdvised multi-national global industrial firm on compliance with Ukraine/Russian sanctions;\u003c/p\u003e","\u003cp\u003eAssisted multiple clients with obtaining exclusions from the Section 232 tariffs (BIS) imposed on steel/aluminum;\u003c/p\u003e","\u003cp\u003eAdvised clients on the application and impact of Section 301 tariffs (USTR);\u003c/p\u003e","\u003cp\u003eConducted US sanctions and PEP due diligence on behalf of client/buyer of real estate property in New York;\u003c/p\u003e","\u003cp\u003eObtained favorable determination that cryptocurrency company preparing an ICO did not need to register as an \"MSB\" under state law;\u003c/p\u003e","\u003cp\u003eRepresented medical/research center in response to FINRA request for information relating to possible insider trading violations.\u003c/p\u003e"],"recognitions":[{"title":"SEC Capital Markets Award, September 11, 2001","detail":"U.S. Securities and Exchange Commission"}]},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":12366}]},"capability_group_id":2},"created_at":"2025-11-13T04:56:52.000Z","updated_at":"2025-11-13T04:56:52.000Z","searchable_text":"Das{{ FIELD }}{:title=\u0026gt;\"SEC Capital Markets Award, September 11, 2001\", :detail=\u0026gt;\"U.S. Securities and Exchange Commission\"}{{ FIELD }}Prepared sanctions/export controls policies and conducted relevant sanctions/export controls training for largest private charter airline;{{ FIELD }}Provided sanctions/AML guidance for first ever NFT real estate auction;{{ FIELD }}Successfully represented non-U.S. based offshore operator of vessels before the U.S. State Department and other U.S. government agencies, in response to possible sanctions in connection with Nord Stream 2 Project;{{ FIELD }}Obtained favorable cautionary letter from OFAC on behalf of bank when the bank had been the subject of a cautionary letter only eight months earlier;{{ FIELD }}Advised marketing automation platform on sanctions-related matters in connection with largest sale of a private marketing software company in U.S. history;{{ FIELD }}Advised global wealth manager on multi-faceted project designed to assess relevant sanctions risk/exposure and assist the bank disassociate itself from high-risk Russia-related client accounts;{{ FIELD }}Assisted multiple U.S. companies divest their interests in Russian operating companies or joint ventures;{{ FIELD }}Coordinate internal and external responses to investigations by OFAC; {{ FIELD }}Represent companies in the Fintech industry with respect to economic sanctions compliance and counseling;{{ FIELD }}Advised multi-national oil refinery on compliance with OFAC requirements in light of PdVSA designation; {{ FIELD }}Advised clients in pharmaceutical and medical device industries navigate economic/sanctions regulations;{{ FIELD }}Advised large foreign airlines on U.S. sanctions obligations, including application of secondary sanctions;{{ FIELD }}Advised large, multi-national airline manufacturer on beneficial ownership obligations under the Bank Secrecy Act and OFAC regulations;{{ FIELD }}Reviewed OFAC and AML representations and warranties in U.S. and offshore fund formation and private placement agreements;{{ FIELD }}Represented a Texas-based bank in response to an Administrative Subpoena issued by OFAC regarding a funds/wire transfer in connection with the delivery of certain medical-related software for the benefit of an Iranian entity. The matter was favorably resolved for the client as OFAC issued a “no-action” letter upon the completion of its investigation and after reviewing our response;{{ FIELD }}Counseled investment firm, specializing in investments in energy-related projects, on the applicability of US sanctions toward Venezuela with respect to a transaction involving payments to a Venezuelan entity (majority-owned by PdVSA) in US dollars for the extraction and sale of Venezuelan natural resources;{{ FIELD }}Advised large multi-national beverage company and its subsidiaries regarding the applicability of US sanctions with respect to its proposed business transactions in Venezuela and Cuba, including helping to obtain favorable interpretive guidance;{{ FIELD }}Counseled large multi-national payment processor based in Latin America with respect to the application of US sanctions to its global operations;{{ FIELD }}Conducted due diligence for community bank as part of capital raising efforts;{{ FIELD }}Evaluated proposed joint venture arrangements to assess compliance with US sanctions requirements;{{ FIELD }}Conducted AML and sanctions reviews in the context of mergers and acquisition, lending arrangements, and repurchase transactions;{{ FIELD }}Conducted analysis of client risk due to client activity in sanctioned countries and other high risk countries. Assist in developing a comprehensive cross-business view of AML and sanctions risk;{{ FIELD }}Developed AML/sanctions compliance program for a provider of prepaid access utilizing toll road transponder devices, and conducted a risk assessment to create targeted procedures and internal controls;{{ FIELD }}Evaluated AML and OFAC obligations of foreign bank client extending margin loans to non-US customers of a US introducing broker;{{ FIELD }}Advised on application of BSA/AML/Sanctions requirements to entities in diverse industries including telecommunications, investment companies and hedge funds; residential mortgage loan originators (RMLOs), and public REITS in cross border ventures;{{ FIELD }}Advised on US sanctions-related and export control issues involving the sale of goods by a European-based client with US subsidiaries to a Russian buyer;{{ FIELD }}Addressed CIP and sanctions related issues raised by cash pooling arrangement for a large multi-national company;{{ FIELD }}Prepared legal opinion on foreign based company’s proposed business expansion in sanctioned countries and US regulatory implications;{{ FIELD }}Successfully obtained commodity classification determinations from US Department of Commerce on behalf of bio-tech client;{{ FIELD }}Advised large financial services company on export control requirements and implications relating to migration to organization-wide office suite/technology with data servers located outside of the US. Raised important “cloud computing” issues;{{ FIELD }}Prepared comment letters on behalf of large trade association on various SEC rulemakings;{{ FIELD }}Advised on Rule 144A and Regulation S offering;{{ FIELD }}Represented PCAOB-registered accounting firm facing disciplinary action involving cross-border access to audit work papers;{{ FIELD }}Counseled developer of search engine on AML/OFAC obligations of financial institutions;{{ FIELD }}Advised multi-national global industrial firm on compliance with Ukraine/Russian sanctions;{{ FIELD }}Assisted multiple clients with obtaining exclusions from the Section 232 tariffs (BIS) imposed on steel/aluminum;{{ FIELD }}Advised clients on the application and impact of Section 301 tariffs (USTR);{{ FIELD }}Conducted US sanctions and PEP due diligence on behalf of client/buyer of real estate property in New York;{{ FIELD }}Obtained favorable determination that cryptocurrency company preparing an ICO did not need to register as an \"MSB\" under state law;{{ FIELD }}Represented medical/research center in response to FINRA request for information relating to possible insider trading violations.{{ FIELD }}Shas advises clients on U.S economic/trade sanctions (OFAC), anti-money laundering requirements, and export control regulations.  In addition, Shas has vast expertise, both from his time in government and private practice, advising on a range of regulatory and compliance issues facing banks, hedge funds, investment advisors, mutual funds, and accounting firms.  Shas has experience representing clients before OFAC, USTR, Commerce (BIS), SEC, PCAOB, FINRA, and the OCC.  His clients include large financial institutions, Fintech companies, and multi-national manufacturers and distributors.\nPrior to joining the firm, Shas had a long career in US government and quasi-government agencies where he served in numerous senior level positions, including: Associate Director at the Public Company Accounting Oversight Board (PCAOB), Senior Sanctions Advisor at OFAC, and Senior Counsel at the US Securities \u0026amp; Exchange Commission and Federal Reserve Board. Shas also served as the head of the compliance examinations unit at Legg Mason, a global asset management firm. \nAs an Associate Director at the PCAOB, Shas negotiated numerous bilateral agreements with foreign regulators providing for cross-border audit oversight and represented the PCAOB in meetings with international audit standard setters. In particular, Shas was instrumental in negotiating an agreement with the Chinese authorities (CSRC and Ministry of Finance) on cross-border enforcement cooperation in 2013. He also participated in a short term secondment at the OECD, where he assisted its Corporate Affairs Division in updating its Principles of Corporate Governance (adopted by the G-20).\nIn a prior capacity as a Senior Sanctions Advisor, Shas served as the Office of Foreign Asset Control’s primary liaison to the securities industry. While at OFAC, he developed compliance guidance for the securities industry, provided subject-matter expertise on securities- and banking-related matters, prepared recommendations regarding appropriate OFAC responses to potential violations of sanctions requirements by financial institutions, and presented at more than 40 conferences throughout the US on compliance with U.S. economic and trade sanctions. During the height of the financial crisis, while at the US Treasury Department, Shas participated in both the development and implementation of the Dodd-Frank Act. Among other areas, Shas helped develop the US Treasury Department’s determination on whether to exempt foreign exchange swaps and forwards from the Commodity Exchange Act; he also helped develop the criteria for determining the designations of non-bank SIFIs.\nEarlier in his career, as counsel in the Banking Supervision and Regulation Division of the Federal Reserve Board, he served as one of the lead lawyers on a seminal enforcement action brought against a global financial institution for violations of OFAC sanctions as well as deficiencies in its anti-money laundering program. This settled action marked the first in a series of actions brought by US regulators and law enforcement agencies against global foreign banking entities for violations of OFAC regulations due to conduct involving the “stripping” of the identities of sanctions targets in the processing of dollar clearing wire transactions.\nEvents\n\nSpeaker, \"SEC Virtual Conference 2022: An Accounting \u0026amp; Reporting Update for Public Companies\" (\"Hot Button Issues for Public Companies\"), The Center for Professional Education, Inc., Washington, DC, May 20, 2022\"\nSpeaker, Russian Sanctions - Business \u0026amp; Policy Implications, Electronic Transactions Associations, Washington, DC, March 9, 2022\nSpeaker, “OFAC Webinar: Back to the Basics for Small to Midsized Banks,” BSA Coalition, Federal Reserve Bank of Richmond, Richmond, VA, April 24, 2018\nSpeaker, “Conducting KYC of Third Parties - Best Practices for Conducting Due Diligence,” Virginia Bankers Association, Fairfax, VA, April 17, 2018\nPanelist, International Sanctions Compliance, Association of Certified Anti-Money Laundering Specialists, New Castle, DE, February 26, 2018\nSpeaker, “The Challenges of Negotiating an Agreement with the Chinese Regulators on Cross-Border Audit Oversight,” China-US Business Alliance, New York City, January 23, 2018\nSpeaker, Annual Anti-Money Laundering and Office of Foreign Assets Control Sanctions Year in Review, ACAMS Virginia Chapter Event, December 12, 2017\nSpeaker, “Strategies for Effective Auditing and Due Diligence of Third Parties in China: Special Focus on Beneficial Ownership,” 8th Global Forum on Anti-Corruption Compliance in High Risk Markets, Washington, DC, July 25-26, 2017\nPanelist, “Banking Compliance,” FCPA Roundtable Discussion, US-China Business Council (USCBC), Washington, DC, May 9, 2017\nSpeaker, “Omnibus Accounts, Trusts and Other Unique Agreements Due Diligence Scenarios: How to Conduct Strong DD to Mitigate Your Risks,” Flagship Conference on Economic Sanctions Enforcement and Compliance, American Conference Institute, Mandarin Oriental Hotel, Washington, DC, April 24-26, 2017\nPanelist, 2017 FCPA and Anti-Monopoly Enforcement Trends in China Roundtable Discussion, US-China Business Council (USCBC), Washington, DC, April 5, 2017\nSpeaker, Keynote Panel: Trump and Banking–Predictions \u0026amp; Promises, 2017 Retail Banking Conference, at the Trump National Doral Miami Hotel in Miami, FL, March 22-24, 2017\nWebinar: Changes in Lease Accounting Standards \u0026amp; Impact on Credit Agreements, February 22, 2017\nSpeaker, “Current Focus of US Regulators—Hot Buttons \u0026amp; Cross Border Issues,” and “PCAOB \u0026amp; Auditing Developments,” SEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, CPE, Beijing, December 12-13, 2016\nPanelist, Disclosure of Beneficial Ownership and Control in Asia: corporate practices, Asian Roundtable On Corporate Governance, OECD, October 25, 2016\nSpeaker, EU Regulatory Equivalency, Cross-Border Inspections of Audit Firms in China, The Evolving Role of the Audit Committee and Other Developments Impacting Global Audit Quality, National Asian Pacific American Bar Association 2016 Southeast Regional Conference, Arlington, VA, September 30, 2016\nSEC Conference 2016: An Accounting \u0026amp; Reporting Update for US Listed Companies, Center for Professional Education, June 2016: speaker on three panels: “Recent Auditing Developments,” “Update on SEC Enforcement Initiatives for Asia-Based Companies,” and “Corporate Governance Best Practices \u0026amp; the Role of the Audit Committee” June 16, 2016\nACAMS Richmond Chapter Event: When Goods Go Bad: Trade Based Money Laundering, May 2016\nOECD’s Asian Roundtables on Corporate Governance, (co-sponsored with the securities regulators in India and Thailand), 2014 and 2015\nWebcast - The PCAOB \u0026amp; China: The Latest Regulatory Developments, 2014\nFinancial Markets Securities Compliance Seminar, 2009\nAnti-Money Laundering III for Financial Institutions, 2008\nFutures Industry Association Law and Compliance Workshop, 2008\n\nPublications\n\nCo-author, AML and Sanctions Compliance Issues Facing Cryptocurrency Companies, Crowdfund Insider, June 4, 2018\nCo-author, “Recent Developments in the PCAOB’s Standard-Setting and Related Rulemaking Agenda,” Parts 1 and 2, in 38 Sec. \u0026amp; Fed. Corp. L. Rep. No. 11, and 39 Sec. \u0026amp; Fed. Corp. L. Rep. No. 1 (Thomson Reuters), edited by Sam Wolff, February 15, 2017\nContributor, Sarbanes-Oxley Act in Perspective, Thomson Reuters, 2017 edition\nCo-author, Trump Administration’s Impact on Financial Regulation and the SEC, Law360, November 23, 2016\n\nAlerts\n\nTrump Administration Issues New Executive Order Against Venezuela to Prevent a “Fire Sale” Liquidation of Venezuela’s Critical Assets, May 23, 2018\nForeign Investment in the US: An Overview of CFIUS, February 15, 2018\nAttorney General Jeff Sessions Announces Return to Traditional Guidelines for Prosecuting Marijuana Crimes; Rescinds Cole Memo Referenced in FinCEN Guidance, January 16, 2018\nNew CFIUS Legislation Proposed in Response to Chinese Investment, November 28, 2017\nFinCEN Warns Banks on North Korean Schemes to Evade Sanctions, November 8, 2017\nFinCEN Expands Its Geographic Targeting Orders and Issues Related Advisory, August 30, 2017\nOFAC Announces $12 Million Settlement to Resolve Enforcement Action Against Non-US Companies Using US Dollars to Do Business With Iran, August 17, 2017\nPCAOB Adopts New Audit Reporting Model, July 12, 2017\nFinCEN Issues Advisory on SAR Reporting Obligations Involving Cyber Crime, November 7, 2016\nFinCEN Expands Customer Due Diligence Requirements, June 22, 2016\nPCAOB Reproposes Standards Relating to Auditor’s Reporting Model – Narrows Scope of “Critical Audit Matters” and Drops “Other Information” Requirement, June 8, 2016\nPCAOB Adopts New Audit Firm Disclosure Rules, May 17, 2016\n Counsel SEC Capital Markets Award, September 11, 2001 U.S. Securities and Exchange Commission University of Virginia University of Virginia School of Law Northeastern University Northeastern University School of Law District of Columbia Maryland UVA Asian and Asian Pacific American Alumni Network (Board member) The Collegiate Schools Alumni Board Member Georgetown University Law Center, Adjunct Professor Prepared sanctions/export controls policies and conducted relevant sanctions/export controls training for largest private charter airline; Provided sanctions/AML guidance for first ever NFT real estate auction; Successfully represented non-U.S. based offshore operator of vessels before the U.S. State Department and other U.S. government agencies, in response to possible sanctions in connection with Nord Stream 2 Project; Obtained favorable cautionary letter from OFAC on behalf of bank when the bank had been the subject of a cautionary letter only eight months earlier; Advised marketing automation platform on sanctions-related matters in connection with largest sale of a private marketing software company in U.S. history; Advised global wealth manager on multi-faceted project designed to assess relevant sanctions risk/exposure and assist the bank disassociate itself from high-risk Russia-related client accounts; Assisted multiple U.S. companies divest their interests in Russian operating companies or joint ventures; Coordinate internal and external responses to investigations by OFAC;  Represent companies in the Fintech industry with respect to economic sanctions compliance and counseling; Advised multi-national oil refinery on compliance with OFAC requirements in light of PdVSA designation;  Advised clients in pharmaceutical and medical device industries navigate economic/sanctions regulations; Advised large foreign airlines on U.S. sanctions obligations, including application of secondary sanctions; Advised large, multi-national airline manufacturer on beneficial ownership obligations under the Bank Secrecy Act and OFAC regulations; Reviewed OFAC and AML representations and warranties in U.S. and offshore fund formation and private placement agreements; Represented a Texas-based bank in response to an Administrative Subpoena issued by OFAC regarding a funds/wire transfer in connection with the delivery of certain medical-related software for the benefit of an Iranian entity. The matter was favorably resolved for the client as OFAC issued a “no-action” letter upon the completion of its investigation and after reviewing our response; Counseled investment firm, specializing in investments in energy-related projects, on the applicability of US sanctions toward Venezuela with respect to a transaction involving payments to a Venezuelan entity (majority-owned by PdVSA) in US dollars for the extraction and sale of Venezuelan natural resources; Advised large multi-national beverage company and its subsidiaries regarding the applicability of US sanctions with respect to its proposed business transactions in Venezuela and Cuba, including helping to obtain favorable interpretive guidance; Counseled large multi-national payment processor based in Latin America with respect to the application of US sanctions to its global operations; Conducted due diligence for community bank as part of capital raising efforts; Evaluated proposed joint venture arrangements to assess compliance with US sanctions requirements; Conducted AML and sanctions reviews in the context of mergers and acquisition, lending arrangements, and repurchase transactions; Conducted analysis of client risk due to client activity in sanctioned countries and other high risk countries. Assist in developing a comprehensive cross-business view of AML and sanctions risk; Developed AML/sanctions compliance program for a provider of prepaid access utilizing toll road transponder devices, and conducted a risk assessment to create targeted procedures and internal controls; Evaluated AML and OFAC obligations of foreign bank client extending margin loans to non-US customers of a US introducing broker; Advised on application of BSA/AML/Sanctions requirements to entities in diverse industries including telecommunications, investment companies and hedge funds; residential mortgage loan originators (RMLOs), and public REITS in cross border ventures; Advised on US sanctions-related and export control issues involving the sale of goods by a European-based client with US subsidiaries to a Russian buyer; Addressed CIP and sanctions related issues raised by cash pooling arrangement for a large multi-national company; Prepared legal opinion on foreign based company’s proposed business expansion in sanctioned countries and US regulatory implications; Successfully obtained commodity classification determinations from US Department of Commerce on behalf of bio-tech client; Advised large financial services company on export control requirements and implications relating to migration to organization-wide office suite/technology with data servers located outside of the US. Raised important “cloud computing” issues; Prepared comment letters on behalf of large trade association on various SEC rulemakings; Advised on Rule 144A and Regulation S offering; Represented PCAOB-registered accounting firm facing disciplinary action involving cross-border access to audit work papers; Counseled developer of search engine on AML/OFAC obligations of financial institutions; Advised multi-national global industrial firm on compliance with Ukraine/Russian sanctions; Assisted multiple clients with obtaining exclusions from the Section 232 tariffs (BIS) imposed on steel/aluminum; Advised clients on the application and impact of Section 301 tariffs (USTR); Conducted US sanctions and PEP due diligence on behalf of client/buyer of real estate property in New York; Obtained favorable determination that cryptocurrency company preparing an ICO did not need to register as an \"MSB\" under state law; Represented medical/research center in response to FINRA request for information relating to possible insider trading violations.","searchable_name":"Shaswat K. Das","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":446310,"version":1,"owner_type":"Person","owner_id":5922,"payload":{"bio":"\u003cp\u003eJulianne Duran is a senior associate in the Washington, DC office of King \u0026amp; Spalding, and a member of the Trial \u0026amp; Global Disputes practice group.\u0026nbsp; Her practice includes complex commercial litigation in federal and state courts, including breach of contract, false advertising, fraudulent misrepresentation, class action, mass tort, and appellate law matters.\u0026nbsp; Julianne also devotes considerable time to pro bono\u003cem\u003e\u0026nbsp;\u003c/em\u003eimmigration cases.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eJulianne graduated\u0026nbsp;\u003cem\u003esumma cum laude\u003c/em\u003e\u0026nbsp;from\u0026nbsp;Fordham University School of Law.\u0026nbsp; During law school, she was an Associate Editor of the Fordham Law Review, President of Fordham's chapter of the International Refugee Assistance Project (IRAP), Teaching Assistant for Legislative Regulation, and a member of the Stein Scholars Program.\u0026nbsp; She received the Hugh R. Jones Award in Law and Public Policy, the Fordham Law Alumni Association Medal in Constitutional Law, and the Archibald R. Murray Public Service Award.\u0026nbsp;\u0026nbsp;Julianne earned her B.A.,\u0026nbsp;\u003cem\u003emagna cum laude\u003c/em\u003e, in English from Georgetown University, with a Certificate in Latin American Studies.\u0026nbsp; She studied abroad in Santiago, Chile.\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Julianne was an associate in the New York office of Gibson, Dunn \u0026amp; Crutcher LLP.\u003c/p\u003e\n\u003cp\u003e\u003cstrong\u003ePublications\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eCo-author,\u0026nbsp;\u003cem\u003eCh. 19:C Exposure Torts, in\u003c/em\u003e\u0026nbsp;A Practitioner's Guide to Class Actions\u0026nbsp;(Marcy Hogan Greer \u0026amp; Amir Nassihi\u0026nbsp;eds.,3d ed. 2021)\u003c/li\u003e\n\u003cli\u003eAuthor,\u0026nbsp;\u003cem\u003eTortured Language: Lawful Permanent Residents and the 212(H) Waiver\u003c/em\u003e, 84 Fordham L. Rev. 1201 (Dec. 2015)\u003c/li\u003e\n\u003c/ul\u003e","slug":"julianne-duran","email":"jduran@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":74,"guid":"74.capabilities","index":0,"source":"capabilities"},{"id":16,"guid":"16.capabilities","index":1,"source":"capabilities"},{"id":5,"guid":"5.capabilities","index":2,"source":"capabilities"}],"is_active":true,"last_name":"Duran","nick_name":"Julianne","clerkships":[],"first_name":"Julianne","title_rank":9999,"updated_by":34,"law_schools":[{"id":722,"meta":{"degree":"J.D.","honors":"summa cum laude, Order of the Coif","is_law_school":1,"graduation_date":"2016-01-01 00:00:00 UTC"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"Lee","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":14,"translated_fields":{"en":{"bio":"\u003cp\u003eJulianne Duran is a senior associate in the Washington, DC office of King \u0026amp; Spalding, and a member of the Trial \u0026amp; Global Disputes practice group.\u0026nbsp; Her practice includes complex commercial litigation in federal and state courts, including breach of contract, false advertising, fraudulent misrepresentation, class action, mass tort, and appellate law matters.\u0026nbsp; Julianne also devotes considerable time to pro bono\u003cem\u003e\u0026nbsp;\u003c/em\u003eimmigration cases.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eJulianne graduated\u0026nbsp;\u003cem\u003esumma cum laude\u003c/em\u003e\u0026nbsp;from\u0026nbsp;Fordham University School of Law.\u0026nbsp; During law school, she was an Associate Editor of the Fordham Law Review, President of Fordham's chapter of the International Refugee Assistance Project (IRAP), Teaching Assistant for Legislative Regulation, and a member of the Stein Scholars Program.\u0026nbsp; She received the Hugh R. Jones Award in Law and Public Policy, the Fordham Law Alumni Association Medal in Constitutional Law, and the Archibald R. Murray Public Service Award.\u0026nbsp;\u0026nbsp;Julianne earned her B.A.,\u0026nbsp;\u003cem\u003emagna cum laude\u003c/em\u003e, in English from Georgetown University, with a Certificate in Latin American Studies.\u0026nbsp; She studied abroad in Santiago, Chile.\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Julianne was an associate in the New York office of Gibson, Dunn \u0026amp; Crutcher LLP.\u003c/p\u003e\n\u003cp\u003e\u003cstrong\u003ePublications\u003c/strong\u003e\u003c/p\u003e\n\u003cul\u003e\n\u003cli\u003eCo-author,\u0026nbsp;\u003cem\u003eCh. 19:C Exposure Torts, in\u003c/em\u003e\u0026nbsp;A Practitioner's Guide to Class Actions\u0026nbsp;(Marcy Hogan Greer \u0026amp; Amir Nassihi\u0026nbsp;eds.,3d ed. 2021)\u003c/li\u003e\n\u003cli\u003eAuthor,\u0026nbsp;\u003cem\u003eTortured Language: Lawful Permanent Residents and the 212(H) Waiver\u003c/em\u003e, 84 Fordham L. Rev. 1201 (Dec. 2015)\u003c/li\u003e\n\u003c/ul\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":10501}]},"capability_group_id":3},"created_at":"2026-03-02T21:59:39.000Z","updated_at":"2026-03-02T21:59:39.000Z","searchable_text":"Duran{{ FIELD }}Julianne Duran is a senior associate in the Washington, DC office of King \u0026amp; Spalding, and a member of the Trial \u0026amp; Global Disputes practice group.  Her practice includes complex commercial litigation in federal and state courts, including breach of contract, false advertising, fraudulent misrepresentation, class action, mass tort, and appellate law matters.  Julianne also devotes considerable time to pro bono immigration cases. \nJulianne graduated summa cum laude from Fordham University School of Law.  During law school, she was an Associate Editor of the Fordham Law Review, President of Fordham's chapter of the International Refugee Assistance Project (IRAP), Teaching Assistant for Legislative Regulation, and a member of the Stein Scholars Program.  She received the Hugh R. Jones Award in Law and Public Policy, the Fordham Law Alumni Association Medal in Constitutional Law, and the Archibald R. Murray Public Service Award.  Julianne earned her B.A., magna cum laude, in English from Georgetown University, with a Certificate in Latin American Studies.  She studied abroad in Santiago, Chile.\nPrior to joining King \u0026amp; Spalding, Julianne was an associate in the New York office of Gibson, Dunn \u0026amp; Crutcher LLP.\nPublications\n\nCo-author, Ch. 19:C Exposure Torts, in A Practitioner's Guide to Class Actions (Marcy Hogan Greer \u0026amp; Amir Nassihi eds.,3d ed. 2021)\nAuthor, Tortured Language: Lawful Permanent Residents and the 212(H) Waiver, 84 Fordham L. Rev. 1201 (Dec. 2015)\n Counsel Georgetown University Georgetown University Law Center Fordham University Fordham University School of Law U.S. Court of Appeals for the Second Circuit U.S. District Court for the Southern District of New York U.S. District Court for the Eastern District of Wisconsin District of Columbia New York American Immigration Legal Association (AILA)","searchable_name":"Julianne Lee Duran","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":34,"capability_group_featured":null,"home_page_featured":null},{"id":426488,"version":1,"owner_type":"Person","owner_id":3854,"payload":{"bio":"\u003cp\u003eKalle Deyette is a\u0026nbsp;senior associate\u0026nbsp;in King \u0026amp; Spalding\u0026rsquo;s Washington, D.C., office and is a member of the FDA and Life Sciences practice.\u0026nbsp; Kalle focuses her practice on the regulation of medical devices and pharmaceutical manufacturers, as well as healthcare providers and suppliers.\u0026nbsp; Her expertise is concentrated on healthcare fraud and abuse and compliance, including analyzing arrangements under the Anti-Kickback Statute and assisting with government investigations and internal investigations into alleged violations of company policy and federal law. \u0026nbsp;Kalle also provides counsel to both the Ad Hoc State Law Compliance Group on a variety of laws and regulations, including state transparency and disclosure laws, and the International Marketing and Disclosure Compliance Group on a variety of international laws, regulations, and industry codes.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eKalle graduated from Saint Louis University School of Law, where she served as the Notes and Comments editor of the Saint Louis University Journal of Health Law \u0026amp; Policy.\u003c/p\u003e","slug":"kalle-deyette","email":"kdeyette@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":21,"guid":"21.capabilities","index":0,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":1,"source":"capabilities"}],"is_active":true,"last_name":"Deyette","nick_name":"Kalle","clerkships":[],"first_name":"Kalle","title_rank":9999,"updated_by":101,"law_schools":[{"id":1732,"meta":{"degree":"J.D.","honors":"magna cum laude","is_law_school":1,"graduation_date":"2015-01-01 00:00:00 UTC"},"order":0,"pin_order":null,"pin_expiration":null}],"middle_name":"E.","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":75,"translated_fields":{"en":{"bio":"\u003cp\u003eKalle Deyette is a\u0026nbsp;senior associate\u0026nbsp;in King \u0026amp; Spalding\u0026rsquo;s Washington, D.C., office and is a member of the FDA and Life Sciences practice.\u0026nbsp; Kalle focuses her practice on the regulation of medical devices and pharmaceutical manufacturers, as well as healthcare providers and suppliers.\u0026nbsp; Her expertise is concentrated on healthcare fraud and abuse and compliance, including analyzing arrangements under the Anti-Kickback Statute and assisting with government investigations and internal investigations into alleged violations of company policy and federal law. \u0026nbsp;Kalle also provides counsel to both the Ad Hoc State Law Compliance Group on a variety of laws and regulations, including state transparency and disclosure laws, and the International Marketing and Disclosure Compliance Group on a variety of international laws, regulations, and industry codes.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eKalle graduated from Saint Louis University School of Law, where she served as the Notes and Comments editor of the Saint Louis University Journal of Health Law \u0026amp; Policy.\u003c/p\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":816}]},"capability_group_id":2},"created_at":"2025-05-26T04:53:46.000Z","updated_at":"2025-05-26T04:53:46.000Z","searchable_text":"Deyette{{ FIELD }}Kalle Deyette is a senior associate in King \u0026amp; Spalding’s Washington, D.C., office and is a member of the FDA and Life Sciences practice.  Kalle focuses her practice on the regulation of medical devices and pharmaceutical manufacturers, as well as healthcare providers and suppliers.  Her expertise is concentrated on healthcare fraud and abuse and compliance, including analyzing arrangements under the Anti-Kickback Statute and assisting with government investigations and internal investigations into alleged violations of company policy and federal law.  Kalle also provides counsel to both the Ad Hoc State Law Compliance Group on a variety of laws and regulations, including state transparency and disclosure laws, and the International Marketing and Disclosure Compliance Group on a variety of international laws, regulations, and industry codes.\nKalle graduated from Saint Louis University School of Law, where she served as the Notes and Comments editor of the Saint Louis University Journal of Health Law \u0026amp; Policy. Senior Associate Saint Louis University Saint Louis University School of Law Saint Louis University Saint Louis University School of Law District of Columbia Missouri","searchable_name":"Kalle E. Deyette","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":101,"capability_group_featured":null,"home_page_featured":null},{"id":445002,"version":1,"owner_type":"Person","owner_id":7255,"payload":{"bio":"\u003cp\u003eAdolfo C. Deulofeut is an associate in King \u0026amp; Spalding's Washington, D.C. office and a member of the firm's Real Estate and Funds practice group.\u0026nbsp;His\u0026nbsp;practice focuses on\u0026nbsp;all aspects of commercial real estate transactions, including development, joint venture negotiation, acquisitions and dispositions, leasing, and finance matters.\u0026nbsp;\u003c/p\u003e","slug":"adolfo-deulofeut","email":"adeulofeut@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":75,"guid":"75.capabilities","index":0,"source":"capabilities"},{"id":36,"guid":"36.capabilities","index":1,"source":"capabilities"},{"id":82,"guid":"82.capabilities","index":2,"source":"capabilities"},{"id":10,"guid":"10.capabilities","index":3,"source":"capabilities"}],"is_active":true,"last_name":"Deulofeut","nick_name":"Adolfo","clerkships":[],"first_name":"Adolfo","title_rank":9999,"updated_by":202,"law_schools":[{"id":755,"meta":{"degree":"J.D.","honors":"","is_law_school":"1","graduation_date":"2020-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":"Carlos","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":2,"translated_fields":{"en":{"bio":"\u003cp\u003eAdolfo C. Deulofeut is an associate in King \u0026amp; Spalding's Washington, D.C. office and a member of the firm's Real Estate and Funds practice group.\u0026nbsp;His\u0026nbsp;practice focuses on\u0026nbsp;all aspects of commercial real estate transactions, including development, joint venture negotiation, acquisitions and dispositions, leasing, and finance matters.\u0026nbsp;\u003c/p\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":13235}]},"capability_group_id":1},"created_at":"2026-01-13T16:44:51.000Z","updated_at":"2026-01-13T16:44:51.000Z","searchable_text":"Deulofeut{{ FIELD }}Adolfo C. Deulofeut is an associate in King \u0026amp; Spalding's Washington, D.C. office and a member of the firm's Real Estate and Funds practice group. His practice focuses on all aspects of commercial real estate transactions, including development, joint venture negotiation, acquisitions and dispositions, leasing, and finance matters.  Associate University of Chicago University of Chicago Georgetown University Georgetown University Law Center","searchable_name":"Adolfo Carlos Deulofeut","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":427230,"version":1,"owner_type":"Person","owner_id":6515,"payload":{"bio":"\u003cp\u003eNadia Doherty is an associate in the Special Matters and Government Investigations practice in King \u0026amp; Spalding's Washington, D.C. office. Her\u0026nbsp;practice focuses primarily on government investigations, internal investigations, and white-collar criminal defense.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eNadia earned her law degree from the University of Virginia School of Law, where she served as a student attorney in the Prosecution Clinic, a LawTech Center fellow, and President of the Law, Innovation, Security, \u0026amp; Technology society. Prior to joining King \u0026amp; Spalding, Nadia interned with the United States Attorney's Office for the District of Maryland and Department of Justice Office of Legislative Affairs. She earned her B.A. in Government \u0026amp; Politics, as well as Criminology \u0026amp; Criminal Justice, from the University of Maryland College Park.\u003c/p\u003e","slug":"nadia-doherty","email":"ndoherty@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":11,"guid":"11.capabilities","index":0,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":1,"source":"capabilities"},{"id":6,"guid":"6.capabilities","index":2,"source":"capabilities"},{"id":20,"guid":"20.capabilities","index":3,"source":"capabilities"},{"id":118,"guid":"118.capabilities","index":4,"source":"capabilities"}],"is_active":true,"last_name":"Doherty","nick_name":"Nadia","clerkships":[],"first_name":"Nadia","title_rank":9999,"updated_by":202,"law_schools":[{"id":2410,"meta":{"degree":"J.D.","honors":null,"is_law_school":1,"graduation_date":"2024-01-01 00:00:00 UTC"},"order":2,"pin_order":null,"pin_expiration":null}],"middle_name":"Alexandra","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":2,"translated_fields":{"en":{"bio":"\u003cp\u003eNadia Doherty is an associate in the Special Matters and Government Investigations practice in King \u0026amp; Spalding's Washington, D.C. office. Her\u0026nbsp;practice focuses primarily on government investigations, internal investigations, and white-collar criminal defense.\u0026nbsp;[[--readmore--]]\u003c/p\u003e\n\u003cp\u003eNadia earned her law degree from the University of Virginia School of Law, where she served as a student attorney in the Prosecution Clinic, a LawTech Center fellow, and President of the Law, Innovation, Security, \u0026amp; Technology society. Prior to joining King \u0026amp; Spalding, Nadia interned with the United States Attorney's Office for the District of Maryland and Department of Justice Office of Legislative Affairs. She earned her B.A. in Government \u0026amp; Politics, as well as Criminology \u0026amp; Criminal Justice, from the University of Maryland College Park.\u003c/p\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":12328}]},"capability_group_id":2},"created_at":"2025-05-26T04:59:21.000Z","updated_at":"2025-05-26T04:59:21.000Z","searchable_text":"Doherty{{ FIELD }}Nadia Doherty is an associate in the Special Matters and Government Investigations practice in King \u0026amp; Spalding's Washington, D.C. office. Her practice focuses primarily on government investigations, internal investigations, and white-collar criminal defense. \nNadia earned her law degree from the University of Virginia School of Law, where she served as a student attorney in the Prosecution Clinic, a LawTech Center fellow, and President of the Law, Innovation, Security, \u0026amp; Technology society. Prior to joining King \u0026amp; Spalding, Nadia interned with the United States Attorney's Office for the District of Maryland and Department of Justice Office of Legislative Affairs. She earned her B.A. in Government \u0026amp; Politics, as well as Criminology \u0026amp; Criminal Justice, from the University of Maryland College Park. Associate University of Maryland-College Park  University of Maryland-College Park  University of Virginia University of Virginia School of Law District of Columbia","searchable_name":"Nadia Alexandra Doherty","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":446901,"version":1,"owner_type":"Person","owner_id":7072,"payload":{"bio":"\u003cp\u003eNoel's practice focuses on a wide range of import compliance and Customs enforcement matters, including classification and country of origin determinations, trade remedy\u0026nbsp;and tariff enforcement, and preferential trade agreements.\u0026nbsp;He is an associate in King \u0026amp; Spalding's Government Matters practice and a member of the firm's International Trade team.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Noel worked as an attorney-advisor at the U.S. Customs and Border Protection Office of Trade, Regulations and Rulings, where he worked on issues related to imported compliance, trade remedy enforcement, duty deferral, duty refunds, and liquidation. Noel's responsibilities included the review of protests and prospective ruling requests.\u003c/p\u003e\n\u003cp\u003eNoel also worked for a boutique law firm in Washington D.C. that specialized in international trade matters, including trade remedy proceedings and Customs enforcement issues,\u0026nbsp;prior to his time with the agency.\u003c/p\u003e","slug":"noel-domi","email":"ndomi@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[{"id":3679}]},"expertise":[{"id":25,"guid":"25.capabilities","index":0,"source":"capabilities"},{"id":81,"guid":"81.capabilities","index":1,"source":"capabilities"},{"id":1689,"guid":"1689.smart_tags","index":2,"source":"smartTags"},{"id":124,"guid":"124.capabilities","index":3,"source":"capabilities"}],"is_active":true,"last_name":"Domi","nick_name":"Noel","clerkships":[],"first_name":"Noel","title_rank":9999,"updated_by":202,"law_schools":[{"id":753,"meta":{"degree":"J.D.","honors":"with honors","is_law_school":"1","graduation_date":"2019-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":" ","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":"Noel Domi is a lawyer of our Government Matters \u0026 Regulation Practice Group. Read more about him.","primary_title_id":2,"translated_fields":{"en":{"bio":"\u003cp\u003eNoel's practice focuses on a wide range of import compliance and Customs enforcement matters, including classification and country of origin determinations, trade remedy\u0026nbsp;and tariff enforcement, and preferential trade agreements.\u0026nbsp;He is an associate in King \u0026amp; Spalding's Government Matters practice and a member of the firm's International Trade team.[[--readmore--]]\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Noel worked as an attorney-advisor at the U.S. Customs and Border Protection Office of Trade, Regulations and Rulings, where he worked on issues related to imported compliance, trade remedy enforcement, duty deferral, duty refunds, and liquidation. Noel's responsibilities included the review of protests and prospective ruling requests.\u003c/p\u003e\n\u003cp\u003eNoel also worked for a boutique law firm in Washington D.C. that specialized in international trade matters, including trade remedy proceedings and Customs enforcement issues,\u0026nbsp;prior to his time with the agency.\u003c/p\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":12736}]},"capability_group_id":2},"created_at":"2026-03-20T18:05:35.000Z","updated_at":"2026-03-20T18:05:35.000Z","searchable_text":"Domi{{ FIELD }}Noel's practice focuses on a wide range of import compliance and Customs enforcement matters, including classification and country of origin determinations, trade remedy and tariff enforcement, and preferential trade agreements. He is an associate in King \u0026amp; Spalding's Government Matters practice and a member of the firm's International Trade team.\nPrior to joining King \u0026amp; Spalding, Noel worked as an attorney-advisor at the U.S. Customs and Border Protection Office of Trade, Regulations and Rulings, where he worked on issues related to imported compliance, trade remedy enforcement, duty deferral, duty refunds, and liquidation. Noel's responsibilities included the review of protests and prospective ruling requests.\nNoel also worked for a boutique law firm in Washington D.C. that specialized in international trade matters, including trade remedy proceedings and Customs enforcement issues, prior to his time with the agency. Noel Domi lawyer Associate Rutgers University-New Brunswick/Piscataway  George Washington University George Washington University Law School District of Columbia Customs and International Trade Bar Association","searchable_name":"Noel Domi","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null},{"id":447115,"version":1,"owner_type":"Person","owner_id":6308,"payload":{"bio":"\u003cp\u003eJanese is an Associate of the firm's Business Litigation, Intellectual Property practice. Janese specializes in complex highly technical patent litigation matters.\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Janese prosecuted utility patents as a\u0026nbsp;Primary Patent Examiner at the USPTO and litigated computer patents as a judicial law clerk at the Court of Federal Claims and the Patent Trial \u0026amp; Appeal Board.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAs a registered Patent Attorney with a Master's degree in Electrical Engineering and experience as a Research Engineer, Janese is technically astute in electrical and computer arts, including neural networks and digital signal processing. She has over a decade of experience developing product prototypes for next generation products, bringing next generation products to market and managing entire product lines across multiple continents.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eJanese narrows in on the technical issues of a case, leveraging\u0026nbsp;her 10 years of experience in private industry as an Electrical Engineer and Product Line Manager to analyze leading edge technology.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eJanese has taught a Neural Networks graduate course at Christian Brothers University. She has also served as a US manufacturer representative in the National Electrical Manufacturers Association (NEMA) to promote standardized product specifications for electrical apparatus.\u003c/p\u003e","slug":"janese-duley","email":"jduley@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[{"id":74,"guid":"74.capabilities","index":0,"source":"capabilities"},{"id":13,"guid":"13.capabilities","index":1,"source":"capabilities"},{"id":25,"guid":"25.capabilities","index":2,"source":"capabilities"},{"id":106,"guid":"106.capabilities","index":3,"source":"capabilities"},{"id":118,"guid":"118.capabilities","index":4,"source":"capabilities"},{"id":762,"guid":"762.smart_tags","index":5,"source":"smartTags"},{"id":764,"guid":"764.smart_tags","index":6,"source":"smartTags"},{"id":763,"guid":"763.smart_tags","index":7,"source":"smartTags"},{"id":761,"guid":"761.smart_tags","index":8,"source":"smartTags"},{"id":1141,"guid":"1141.smart_tags","index":9,"source":"smartTags"},{"id":1203,"guid":"1203.smart_tags","index":10,"source":"smartTags"},{"id":35,"guid":"35.capabilities","index":11,"source":"capabilities"},{"id":17,"guid":"17.capabilities","index":12,"source":"capabilities"},{"id":133,"guid":"133.capabilities","index":13,"source":"capabilities"}],"is_active":true,"last_name":"Duley","nick_name":"Janese","clerkships":[{"name":"Intern, Griggsby, U.S. Court of Federal Claims","years_held":"2020 - 2020"},{"name":"Intern, Maggs, United States Court of Appeals for the Armed Forces","years_held":"2020 - 2020"},{"name":"Judicial Clerk, Hughes, U.S. Patent and Trademark Office","years_held":"2021 - 2021"}],"first_name":"Janese","title_rank":9999,"updated_by":35,"law_schools":[{"id":753,"meta":{"degree":"J.D.","honors":null,"is_law_school":1,"graduation_date":null},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":" ","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":2,"translated_fields":{"en":{"bio":"\u003cp\u003eJanese is an Associate of the firm's Business Litigation, Intellectual Property practice. Janese specializes in complex highly technical patent litigation matters.\u003c/p\u003e\n\u003cp\u003ePrior to joining King \u0026amp; Spalding, Janese prosecuted utility patents as a\u0026nbsp;Primary Patent Examiner at the USPTO and litigated computer patents as a judicial law clerk at the Court of Federal Claims and the Patent Trial \u0026amp; Appeal Board.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAs a registered Patent Attorney with a Master's degree in Electrical Engineering and experience as a Research Engineer, Janese is technically astute in electrical and computer arts, including neural networks and digital signal processing. She has over a decade of experience developing product prototypes for next generation products, bringing next generation products to market and managing entire product lines across multiple continents.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eJanese narrows in on the technical issues of a case, leveraging\u0026nbsp;her 10 years of experience in private industry as an Electrical Engineer and Product Line Manager to analyze leading edge technology.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eJanese has taught a Neural Networks graduate course at Christian Brothers University. She has also served as a US manufacturer representative in the National Electrical Manufacturers Association (NEMA) to promote standardized product specifications for electrical apparatus.\u003c/p\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":11816}]},"capability_group_id":3},"created_at":"2026-03-28T05:02:11.000Z","updated_at":"2026-03-28T05:02:11.000Z","searchable_text":"Duley{{ FIELD }}Janese is an Associate of the firm's Business Litigation, Intellectual Property practice. Janese specializes in complex highly technical patent litigation matters.\nPrior to joining King \u0026amp; Spalding, Janese prosecuted utility patents as a Primary Patent Examiner at the USPTO and litigated computer patents as a judicial law clerk at the Court of Federal Claims and the Patent Trial \u0026amp; Appeal Board. \nAs a registered Patent Attorney with a Master's degree in Electrical Engineering and experience as a Research Engineer, Janese is technically astute in electrical and computer arts, including neural networks and digital signal processing. She has over a decade of experience developing product prototypes for next generation products, bringing next generation products to market and managing entire product lines across multiple continents. \nJanese narrows in on the technical issues of a case, leveraging her 10 years of experience in private industry as an Electrical Engineer and Product Line Manager to analyze leading edge technology. \nJanese has taught a Neural Networks graduate course at Christian Brothers University. She has also served as a US manufacturer representative in the National Electrical Manufacturers Association (NEMA) to promote standardized product specifications for electrical apparatus. Associate Vanderbilt University Vanderbilt University School of Law George Washington University George Washington University Law School Vanderbilt University Vanderbilt University School of Law U.S. Court of Appeals for the Federal Circuit U.S. Patent and Trademark Office Colorado District of Columbia Pauline Newman Inns of Court ChiPs Washington, D.C. Chapter Intern, Griggsby, U.S. Court of Federal Claims Intern, Maggs, United States Court of Appeals for the Armed Forces Judicial Clerk, Hughes, U.S. Patent and Trademark Office","searchable_name":"Janese Duley","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":35,"capability_group_featured":null,"home_page_featured":null},{"id":435756,"version":1,"owner_type":"Person","owner_id":6264,"payload":{"bio":"\u003cdiv id=\"pnlProfileSummary\"\u003e\n\u003cdiv id=\"pnlProfileSummaryShort\"\u003e\n\u003cp\u003eAdriana is an associate\u0026nbsp;in the firm\u0026rsquo;s antitrust practice in Washington, D.C. She graduated magna cum laude from William \u0026amp; Mary Law School in 2023, and\u0026nbsp;while in law school, was a staff writer for the Journal of Race Gender and Social Justice\u0026nbsp;and a co-president of the Election Law Society. She earned her B.A. from George Washington University in 2018, with a double major in Political Science and Spanish.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAdriana\u0026nbsp;served\u0026nbsp;as a Young Lawyer Representative\u0026nbsp;for\u0026nbsp;the ABA Section of Antitrust Law's Technology Committee for the 2024-2025 term.\u003c/p\u003e\n\u003c/div\u003e\n\u003c/div\u003e","slug":"adriana-dunn","email":"adunn@kslaw.com","phone":null,"matters":null,"taggings":{"tags":[],"meta_tags":[]},"expertise":[],"is_active":true,"last_name":"Dunn","nick_name":"Adriana","clerkships":[],"first_name":"Adriana","title_rank":9999,"updated_by":202,"law_schools":[{"id":462,"meta":{"degree":"J.D.","honors":"Magna Cum Laude","is_law_school":"1","graduation_date":"2023-01-01 00:00:00"},"order":1,"pin_order":null,"pin_expiration":null}],"middle_name":" ","name_suffix":"","recognitions":null,"linked_in_url":null,"seodescription":null,"primary_title_id":2,"translated_fields":{"en":{"bio":"\u003cdiv id=\"pnlProfileSummary\"\u003e\n\u003cdiv id=\"pnlProfileSummaryShort\"\u003e\n\u003cp\u003eAdriana is an associate\u0026nbsp;in the firm\u0026rsquo;s antitrust practice in Washington, D.C. She graduated magna cum laude from William \u0026amp; Mary Law School in 2023, and\u0026nbsp;while in law school, was a staff writer for the Journal of Race Gender and Social Justice\u0026nbsp;and a co-president of the Election Law Society. She earned her B.A. from George Washington University in 2018, with a double major in Political Science and Spanish.\u0026nbsp;\u003c/p\u003e\n\u003cp\u003eAdriana\u0026nbsp;served\u0026nbsp;as a Young Lawyer Representative\u0026nbsp;for\u0026nbsp;the ABA Section of Antitrust Law's Technology Committee for the 2024-2025 term.\u003c/p\u003e\n\u003c/div\u003e\n\u003c/div\u003e"},"locales":["en"]},"secondary_title_id":null,"upload_assignments":{"headshot":[{"id":11261}]},"capability_group_id":null},"created_at":"2025-08-25T21:08:12.000Z","updated_at":"2025-08-25T21:08:12.000Z","searchable_text":"Dunn{{ FIELD }}\n\nAdriana is an associate in the firm’s antitrust practice in Washington, D.C. She graduated magna cum laude from William \u0026amp; Mary Law School in 2023, and while in law school, was a staff writer for the Journal of Race Gender and Social Justice and a co-president of the Election Law Society. She earned her B.A. from George Washington University in 2018, with a double major in Political Science and Spanish. \nAdriana served as a Young Lawyer Representative for the ABA Section of Antitrust Law's Technology Committee for the 2024-2025 term.\n\n Associate George Washington University George Washington University Law School College of William and Mary William \u0026amp; Mary Law School District of Columbia","searchable_name":"Adriana Dunn","is_active":true,"featured":null,"publish_date":null,"expiration_date":null,"blog_featured":null,"published_by":202,"capability_group_featured":null,"home_page_featured":null}]}}