Law School
Northwestern University, J.D., 1968
Law School Graduation Year
1968
College
Lawrence University, B.A., 1965
Memberships
Chicago and American Bar Associations; American College of Trial Lawyers; The Law Club of Chicago.
Biographical
Author: Internal Investigations of Corporate Misconduct, Prentice Hall Law & Business-Corporation, April 1992; Criminal Liability of Corporations & Their Agents, The Review of Securities & Commodities Regulation, July 1992. Co-Author: with Robert R. Stauffer, Chapter 5, Cooperation with Authorities; Acceptance of Responsibility; Obstruction of Justice; Interests of the Corporation and its Employees; Vagaries of Prosecutorial Discretion, BNA/ACCA Compliance Manual: Prevention of Corporate Liability, February 1993; with Robert R. Stauffer, Establishing an Effective Compliance Program: Threshold Considerations, and Investigation and Disclosure of Violations, Compliance Programs and the Corporate Sentencing Guidelines, November 1993; with Robert R. Stauffer, Corporate Internal Investigations, Corporate Counsel's Guide to Legal Audits & Investigations, February 1995; with William A. Von Hoene, Jr. and Liza M. Murphy, Cameras in the Courtroom: An Overview, Communications Lawyer, Fall 1995; with William A. Von Hoene, Jr. and Thomas S. O'Neill, Motions in Limine, Business and Commercial Litigation in Federal Courts, West Publications, 2001; Crisis Management: The Economy, Security and Coping with the Unexpected, April 2002; with Robert Stauffer, Preventing, Investigating and Addressing Misconduct in the Corporate Environment, Spring 2002. Instructor, Trial Practice, John Marshall School of Law, 1972-1976. Adjunct Professor, Trial Practice, Northwestern School of Law, 1980-1982. Assistant United States Attorney, 1970-1976. United States Attorney, Northern District of Illinois, 1985-1989.