Please Note: All Cahn Litigation expert witness searches are customized to attorneys' precise specifications and preferences. Attorneys are encouraged to discuss search parameters with a Cahn search specialist.
The below expert witness bios represent a small fraction of those Racketeering experts known by Cahn Litigation Services. These bios are provided to give attorneys a sense of the Racketeering landscape.
This expert possesses a background that integrates the natural sciences, forensic sciences and law enforcement investigations. This expert specializes in forensic examinations of disputed signatures, handwriting and other document problems. This expert can provide on-site examinations and is a court qualified expert in civil, criminal and administrative courts internationally. This expert has earned a Master of Science degree in Forensic Science, received extensive specialized training in Questioned Document Examination from the FBI and Secret Service, and is certified by the American Board of Forensic Document Examiners (ABFDE) and is a member of the American Academy of Forensic Science, International Association for Identification, Association of Forensic Scientists, the Microscopical Society and the American Chemical Society. This expert is a forensic document examiner with many years of experience in a Crime Lab and private practice. This expert has examined thousands of handwriting, signature and questioned document cases, participated in numerous high profile investigations and testified in trials. Now in private practice, this expert specializes in the examination of signatures, handwriting and other disputed document problems and will accept civil, criminal and administrative cases.
A former federal enforcement attorney and veteran in regulatory compliance and white-collar defense, this expert has expertise and consults with clients throughout the United States in areas of internal investigations, enforcement matters, regulatory issues, and corporate transactions, including advising on mergers and acquisitions in highly complex regulatory structures. This expert has held the Series 7, 24, and 66 licenses with FINRA. This expert also serves as a National Futures Association and FINRA arbitrator.
Prior to forming a firm, this expert was a senior vice president and chief compliance officer of a global financial services and FINRA member firm. This expert was responsible for all aspects of compliance and regulatory responsibilities for multiple registered investment advisors, mutual funds, alternative investments, and a broker-dealer. This expert focused on identifying and assessing the compliance risks of the firms, creating and implementing policies and procedures that address and allows compliance risks to be managed, and reviewing the policies and procedures to determine their continued adequacy and effectiveness.
Previously, this expert served as a senior trial attorney for a Commodity Futures Trading firm managing a team of trial attorneys, investigators and support staff in the investigation and prosecution of market manipulation, market abuse and fraud in the futures and derivatives markets, advising staff in areas of investigations, leading investigations of high profile matters, and facilitating effective engagement and collaborative work with other U.S. regulatory and prosecutorial bodies, international regulators, and exchange staff. This expert served as a liaison to the Office of General Counsel in the revision of policies and procedures pursuant to regulatory reform, including Dodd-Frank, and named to an interagency task force on the collection and retention of sensitive data.
This expert began a career in the Government Compliance, Investigations, and Litigation, White-Collar Criminal Defense, Commercial and Business Litigation, and Digital Discovery and Records Management practice groups. This expert represented clients in the prosecution and defense of complex business disputes in domestic and international jurisdictions, served as counsel to publicly and privately held companies undergoing both internal and external investigations, assisted clients in recognizing and avoiding the expanding risk of corporate criminal liability, and designing and implementing targeted corporate compliance programs. This expert was a founding member of the electronic discovery practice group and has an E-Discovery Best Practices Certification.
This expert has first-chaired trials representing both plaintiffs and defendants in various commercial, criminal, and collection matters.
This expert leads a national consulting practice. This expert specializes in a wide array of real estate and mortgage specialties, including bank fraud, mortgage origination, underwriting, and sub-prime/stated income fraud analysis. This expert provides litigation consulting and expert witness services, as well as financial research and damage calculations.
This expert’s firm has been retained in over 500 civil and criminal cases, and worked with clients as varied as banks, insurance companies, state government agencies and escrow companies. Two cases concerned FHA brokerage operations. Some of the services this expert provides include:
Litigation Consulting in Civil & Criminal Cases
Mortgage Document Review and Analysis
Evaluation of Bank Underwriting Practices
Evaluation of FHA/VA Underwriting Practices
Lenders' Standards of Care & Due Diligence
Predatory Lending Abuses
Mortgage Broker Malpractice
Real Estate Broker Standards and Practices
Title Issues (title chain, zoning) and Interpretation
Escrow and Title Procedures & Closing Practices
Real Estate-Related Economic Damages
Short Sale Fraud & Wrongful Foreclosure Actions
Lenders' Misconduct in Processing Loan Modifications
Dual-tracking: Loan Modification Concurrent with Foreclosure