
Megan Gordon
Megan Gordon'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. · Clifford Chance
About
Megan Gordon advises clients on regulatory compliance matters, including anti-corruption, anti-money laundering, economic sanctions, export controls, and data protection, with a focus on companies and financial institutions conducting international business.
Practice areas
Office
Expertise
Education
- Georgetown University Law Center, JD (2004)
- Georgetown University, AB (2001)