As a Managing Corporate Counsel, Corporate Compliance Officer & Enterprise Privacy Officer for a Fortune 100 financial services company, worked thoughtfully to build upon over fifteen (15) years of diverse, yet complementary, experience in the areas of compliance, ethics, privacy, anti-fraud, corporate internal investigations and corporate governance.
Client-centric lawyer and a champion of embedding legal risk management into business product design and delivery.
• Certified Fraud Examiner (CFE)
• Certified Information Privacy Professional (CIPP)
• Admitted to the Bars of Connecticut (State and Federal) and the District of Columbia.
General Practice of Law; Corporate Internal Investigations, Anti-Fraud and Privacy Counsel, including Privacy and Fraud Risk-Assessments; Employment/HR Law; IP Contracts; Fraud and Recovery Litigation; E-Discovery; Global Sourcing; Non-Profit Consulting; Public Sector and Municipal Liability; Government Relations and Public Policy Advocacy.