Donald Griffith

Donald Griffith

Lecturer


BS, University of Akron (summa cum laude)
JD, Syracuse University College of Law (magna cum laude)
MPA, Syracuse University


Biography

Don Griffith is Head of Financial Crimes & Fraud Prevention Compliance, as well as Compliance Counsel, at MassMutual, where he leads several teams handling anti-money laundering, anti-corruption, privacy and information security compliance, and fraud prevention compliance. He has three decades of regulatory enforcement and compliance experience. He started his legal career at Rogers & Wells in New York City and Washington, DC, where he focused on securities and banking litigation, Foreign Corrupt Practices Act compliance and securities enforcement matters. He then joined the US Securities and Exchange Commission’s Division of Enforcement as Senior Counsel, and later Branch Chief, investigating violations of federal securities laws. He spent several years in Los Angeles at LRN, consulting with Fortune 1000 companies on their compliance and ethics issues and designing training to address those issues. He returned to private practice at Foley & Lardner in Washington, DC, as Senior Counsel, where he was a member of the firm’s Securities Enforcement and White Collar practice group. Prior to joining MassMutual, he was Associate General Counsel at Goldman, Sachs & Co., where he handled regulatory enforcement matters for the firm. Don speaks frequently on corporate compliance and governance issues, including how to develop and assess effective compliance programs.

Activities & Engagements

No upcoming activities or engagements.

Courses

Introduction to Risk Management and Compliance: LAW JD 778

4 credits

Spanning the range of industries from health care to financial services to manufacturing and beyond, compliance is the fast-growing practice of managing the full range of legal risk within highly-regulated organizations. At the complex intersection of law, business operations, reputation, and ethics, compliance lawyers practice "preventive law" to protect companies against corporate criminal and civil liability. We will discuss how to identify and evaluate an organization's legal risks and and work in multidisciplinary teams to develop effective strategies to prevent wrongdoing (and detect violations when they do occur). Among other topics, we will look at the Federal Sentencing Guidelines for Organizations, the Foreign Corrupt Practices Act, and enforcement guidance from the Department of Justice and Securities & Exchange Commission to see how compliance has become a key mechanism of corporate accountability in the U.S. and globally.

FALL 2023: LAW JD 778 A1 , Sep 6th to Dec 6th 2023
Days Start End Credits Instructors Bldg Room
Mon,Wed 4:20 pm 6:20 pm 4 Donald Griffith LAW 209