The Bradley Arant Boult Cummings White Collar Defense, Internal Investigations, and Corporate Compliance Practice Group represents companies and individuals in connection with the investigation and prosecution of criminal and regulatory violations at the federal and state levels. The Group consists of seasoned defense attorneys, including several former federal prosecutors, who have the deep and varied experience demanded by high-stakes white-collar matters.
Our lawyers have represented clients in connection with internal investigations and enforcement proceedings implicating a wide variety of subject matters, including health care, government contracts and procurement, foreign corruption (FCPA), banking and financial services, securities, environmental, economic competition (antitrust and trade secrets), export controls, transactions in sanctioned countries, campaign finance, public corruption, and national security. The attorneys in the Group have successfully represented clients at all stages of compliance and enforcement matters, including composing effective compliance programs; rendering advice on regulatory compliance issues; conducting internal investigations; providing counsel in connection with testimony before grand juries, Congressional committees, and federal agencies; and, when necessary, zealously defending clients at trial.
The Bradley Arant Boult Cummings White Collar Defense, Internal Investigations, and Corporate Compliance Practice Group represents companies and individuals in connection with the investigation and prosecution of criminal and regulatory violations at the federal and state levels. The Group consists of seasoned defense attorneys, including several former federal prosecutors, who have the deep and varied experience demanded by high-stakes white-collar matters.
Our lawyers have represented clients in connection with internal investigations and enforcement proceedings implicating a wide variety of subject matters, including health care, government contracts and procurement, foreign corruption (FCPA), banking and financial services, securities, environmental, economic competition (antitrust and trade secrets), export controls, transactions in sanctioned countries, campaign finance, public corruption, and national security. The attorneys in the Group have successfully represented clients at all stages of compliance and enforcement matters, including composing effective compliance programs; rendering advice on regulatory compliance issues; conducting internal investigations; providing counsel in connection with testimony before grand juries, Congressional committees, and federal agencies; and, when necessary, zealously defending clients at trial.
Former federal prosecutors Jack Selden and Steve Spivack lead the Group. Mr. Selden is a former United States Attorney and Assistant United States Attorney, a Past President of the National Association of Former United States Attorneys, and currently serves as the Chair of the ABA’s DOJ Dialogue Group subcommittee, which addresses criminal justice issues with the Attorney General of the United States and other leaders within the Department of Justice. Mr. Spivack was an Assistant United States Attorney in the District of Columbia for almost thirteen years, serving in the Fraud Division and also as Chief of Special Prosecutions, the unit which handled the office’s most complex and high-profile federal criminal cases. While in private practice, Mr. Spivack has served as the Co-Chair of the ABA’s White Collar Environmental Crime subcommittee. The Group also includes Greg Marshall, who served as Deputy Chief of the Criminal Division in the United States Attorney’s Office for the District of Columbia; Ty Howard, who specialized in white-collar cases as a federal prosecutor in Nashville; and Dan Golden, a seasoned defense attorney with nearly a decade of experience representing clients being investigated and prosecuted for conduct implicating a broad range of statutes and regulations.