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Corporate Crime - End of year round-up 2024

Run Time
60 Minutes
Learning Method
On-Demand Training
Practice Area
Corporate Crime
Available Until
19/12/2026

Price £130.00

Purchase

Description

Andrew Good, Bora Rawcliffe and Jason Williamson from Skadden LLP discuss the Corporate Crime end of year round up. The webinar will focus on key trends and developments in Corporate Criminal Enforcement, and look ahead to what to expect in 2025.

For a preview, click the video link below:


Viewing this webinar can help solicitors and other legal and tax professionals meet the training requirements set out by their regulators.

For further details on these requirements please visit our continuing education page.

Literature

Speakers

Andrew Good

Partner, White Collar Defense and Investigations

Skadden

Mr. Good handles due diligence work in the context of corporate transactions and regularly advises clients on compliance and training programs. In recognition of his work in govern­ment practice, he has been named to The Best Lawyers in the UK.

His representations have involved matters related to:
  • securities fraud
  • insider trading
  • market manipulation
  • bribery and corruption
  • money laundering
  • sanctions
  • cybersecurity
  • Mr. Good has advised:

  • a financial institution in SEC investigations related to Puerto Rican municipal debt offerings
  • a financial institution in a DOJ anti-money laundering investigation related to the FIFA corruption scandal
  • a financial institution in SEC investigations related to trading in residential mortgage-backed securities and other fixed income instruments
  • financial institutions in Financial Institutions Reform, Recovery and Enforcement Act litigation and investigations arising out of the issuance of mortgage-backed securities
  • a major online gaming company in a civil forfeiture action brought by the U.S. Attorney’s Office for the Southern District of New York
  • a senior executive of a public company in a lawsuit brought by the SEC alleging accounting fraud
  • a senior executive of a financial institution in DOJ and CFTC investigations into the manipulation of LIBOR
  • a senior executive of a public company in a federal accounting fraud and insider trading prosecution
  • a hedge fund manager in connection with an insider trading investigation
  • a private equity fund in an insider trading investigation
  • multinational firms in internal investigations relating to allegations of FCPA violations
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Jason Williamson

European Counsel, White Collar Defense and Investigations

Skadden

Mr. Williamson advises clients in proceedings brought by a range of prosecutors and regulators, including actions commenced by the U.K. Serious Fraud Office, Financial Conduct Authority, HM Revenue & Customs and the U.S. Department of Justice. His experience includes advising clients facing parallel investigations by multiple agencies, as well as concurrent criminal and civil litigation.

He also advises clients on anti-bribery and corruption matters and has successfully defended clients against enforcement actions commenced by multiple agencies. In this capacity, he regularly assists clients with governance issues and best practices regarding risk and compliance.

Mr. Williamson also has experience representing clients involved in the civil and criminal aspects of asset recovery and restraint proceedings. This includes advising clients on the restraint of assets through both civil and criminal courts and the pursuit of civil proceedings and private prosecutions.
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Bora Rawcliffe

Counsel, White Collar Defense and Investigations

Skadden

Ms. Rawcliffe frequently advises clients on cross-border investigations and interactions with regulators relating to allegations of corrupt practices, money laundering, violations of economic sanctions laws, accounting and financial irregularities, and improper busi­ness practices. She has investigated matters around the world, with a particular focus on Europe, the Middle East, Africa and Asia. She also has represented individual and corporate defendants in cross-border criminal investigations, SEC and DOJ enforcement matters or inquiries, and other interactions with regulators, including with respect to enforcement of economic sanctions and anti-money laundering laws and regulations.

In addition, she regularly works with global corporations to review and update compliance programs, and to investigate and remediate compliance issues. This includes conducting risk assessments and gap analyses, drafting policies and procedures, conducting employee and third-party compliance training, and counseling on internal controls to identify and prevent potential violations of anti-corruption laws, such as the U.S. Foreign Corrupt Practices Act and the U.K. Bribery Act. Ms. Rawcliffe also works on pre- and post-acquisition due diligence in the context of corporate transactions.

Before relocating to London in 2016, Ms. Rawcliffe practiced in Los Angeles, where she worked on various anti-corruption investigations and compliance matters in Latin America and Asia, as well as health care fraud matters in the U.S. In addition, she represented individ­uals and companies in various industries, such as defense, finance, retail, manufacturing and health care in various investigations, arbitration and litigation matters, including unlawful business practices, fraud, breach of contract, unfair competition and False Claims Act matters. She also advised clients in government contract disputes, including in the protection of intellectual property rights.

As part of her pro bono work, Ms. Rawcliffe has represented individuals in immigration matters, including those seeking asylum and Special Immigrant Visas. She also has advised an international human rights organization on various compliance matters.
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