Megan Gordon's practice focuses on risk management, transactional due diligence, compliance and internal investigation matters. She serves as the Office Managing Partner for the firm's Washington, DC office.
Megan's work encompasses a broad range of regulatory matters arising under the Foreign Corrupt Practices Act (FCPA), US anti-money laundering (AML) and economic sanctions laws and regulations, export controls, privacy and US data protection laws and regulations. She advises clients on how to manage risk exposure in a wide-variety of legal areas affecting companies and financial institutions conducting international business. She also advises multinational companies in connection with transactional risks and in designing and implementing their compliance programs.
Megan is a member of our global Data Risk team.
Contact details
Career and qualifications
- Georgetown University (AB) 2001