TRACE hosts webinars on a variety of regulatory compliance topics on a monthly basis. Webinar recordings are available in the members-only Resource Center and can be used for ad hoc training or as part of a comprehensive global training program coupled with our eLearning. Select webinars are open to the public. Advanced training, available through TRACEpro, includes a selection of our recorded webinars.
Tuesday, 2 June 2020 | 1:00 PM EDT (6:00 p.m. GMT+1)
The rapid rollout of 5G infrastructure presents unique and heightened risks to the public and private sectors. In this webinar, Kevin Muhlendorf and Megan Brown of Wiley will discuss the potential for exposure to Foreign Corrupt Practices Act liability in 5G rollout, as addressed in their chapter for TRACE’s latest book, Corrosive: Corruption and its Consequences.
Partner
Wiley
Megan represents corporations in complex proceedings concerning technological innovation and regulation. She helps clients respond to agency and Congressional inquiries and develop compliance strategies under a variety of statutes, including the Federal Trade Commission Act, the Federal Communications Act, and state consumer protection and cybersecurity laws. Megan has deep expertise in cybersecurity and data privacy issues, working for national and global companies on cutting edge compliance and risk management.
As a former senior Department of Justice official in the George W. Bush administration, Megan helps clients navigate the current administration. She also serves on the U.S. Chamber of Commerce’s Cybersecurity Leadership Council and is Associate Director for Cybersecurity at George Mason law school’s National Security Institute.
Megan is a contributing author and an industry source in several publications, including the “Cybersecurity Risk Management Is a Corporate Responsibility” chapter in the American Bar Association’s 2019 publication, The Lawyer’s Corporate Social Responsibility Deskbook.
Partner
Wiley
Kevin’s practice focuses on securities fraud, defense procurement fraud, health care fraud, and Foreign Corrupt Practices Act (FCPA) matters. As a former Assistant Chief in the Fraud Section of the Criminal Division of the U.S. Department of Justice (DOJ) and Senior Counsel in the Enforcement Division of the U.S. Securities and Exchange Commission (SEC), Kevin has a unique experience he brings to defending complex, and often overlapping, civil and criminal enforcement investigations. He relies on his extensive prosecutorial experience to develop innovative investigative and trial strategies.