Anti-Corruption

Operating across borders creates opportunities but also increases regulatory risks. SECIL helps organizations navigate such risks, including anti-corruption challenges, compliance requirements or defense against enforcement actions in an increasingly complex global marketplace.

Overview

Anti-corruption enforcement remains a priority for regulators and prosecutors worldwide. Companies operating internationally face heightened compliance scrutiny of third-party relationships, procurement processes, gifts and hospitality practices, and cross-border transactions.

SECIL advises organizations, boards, executives, and compliance professionals on matters involving the Foreign Corrupt Practices Act (FCPA), international anti-bribery laws, internal investigations, and government enforcement actions. We help clients identify risks, investigate concerns, respond to international and governmental allegations, and strengthen compliance frameworks designed to prevent future issues.

Whether helping clients resolve potential issues proactively or responding to government inquiries, we provide practical guidance that balances legal obligations with business realities.

Clients Call Us When

  • Potential bribery concerns are identified
  • Whistleblower allegations arise
  • Internal audits reveal compliance issues
  • Government agencies initiate inquiries
  • Third-party relationships create risk exposure
  • Cross-border transactions raise questions
  • Mergers or acquisitions require corruption due diligence
  • Compliance programs need review or enhancement
  • International operations expand into higher-risk jurisdictions

How We Help

  • FCPA investigations
  • Internal anti-corruption investigations
  • Government enforcement defense
  • Third-party risk assessments
  • Compliance program reviews
  • Transactional due diligence
  • Board and audit committee investigations
  • Compliance training and policy development
  • Risk assessments
  • Remediation planning

Clients Choose SECIL Because we Bring:

  • Experience handling complex cross-border investigations
  • Deep understanding of anti-corruption enforcement priorities
  • Sophisticated investigative and fact-development capabilities
  • Practical compliance and risk-management guidance
  • Experience coordinating with regulators and enforcement authorities
  • Strategic counsel tailored to global business operations

Protecting Organizations in a Global Environment

Whether responding to allegations, strengthening compliance programs, or navigating government scrutiny, SECIL helps clients manage anti-corruption matters with confidence.

Who We've Helped

  • International corporations

    Represented a global company in the first FCPA investigation by the Justice Department and Securities and Exchange Commission of a Brazilian multinational, involving transactions in Latin America, Asia, the Middle East and Africa, and negotiated a favorable settlement.

  • Domestic companies

    Successfully advised U.S. mining original equipment manufacturer (“OEM”) on developing and securing China-originating supply chain, enhancing global intellectual property protection, building FCPA compliance programs, and developing international sales and distribution network.

  • Bribery and corruption investigations

    Conducted an internal investigation and implemented remedial measures to address bribery and corruption policy violations in a global company's operations in India and reported results to the Justice Department and Securities and Exchange Commission, resulting in no charges against our client.

Why SECIL Law?

Experience in high-risk markets, seamless legal and forensic services

Corruption concerns come in many forms. Whether a company is proactively addressing the risks of a new international market or is already enmeshed in an active criminal or civil matter, our legal and compliance experience gives clients the tools they need to identify and deal with anti-corruption issues.

SECIL Law attorneys have worked at the Justice Department and Securities and Exchange Commission and also have led corporate compliance departments. Our team also includes a forensic accountant and auditor. While many firms outsource forensic accounting services, SECIL Law provides clients with in-house capabilities that combine our legal expertise and forensic know-how.

We help clients with due diligence to identify corruption and Foreign Corrupt Practices Act (“FCPA”) risks in mergers and acquisitions and screen third-party agents and distributors for corruption concerns. We often work with our clients’ information technology professionals and analyze company data to identify risks and create effective solutions.

We also offer practical, business-sensitive anti-corruption compliance guidance that considers risk factors posed by the locations of its business operations. But effective anti-corruption compliance is not static and requires flexibility as a company grows and shifts operations. In addition to setting up right-sized compliance frameworks, we also help clients through implementation and follow-through to make sure that procedures produce the intended protection and responsiveness to management.

Our team has experience in-house building compliance programs from the ground up and helping companies enter new markets. We bring this practical insight to help clients expanding into high-risk countries as well as international companies entering the U.S. market.

How We Can Help You?