Mark advises clients in the U.S., Europe, South America, Africa and Asia on complex issues such as SEC financial accounting investigations, white collar crime, off-label allegations, bribe and kick-back schemes, Foreign Corrupt Practices Act (“FCPA”) matters, False Claims Act (“FCA”) damage calculations and defines, violations of the Stark Law and the Anti-Kickback Statute, embezzlements, pharmaceutical sales and marketing compliance, economic damages and lost profits settlement calculations and consultation, and various auditing and monitoring assessments. Mark served for over a year as the interim global Chief Compliance Officer for a $5B medical device company with over 50 world-wide locations. He has built the compliance program and establish a global team, as well as implemented a comprehensive third party due diligence system to manage the anti-bribery/ anti-corruption risk of its distributors.   Mark serves as an Independent Review Organization expert and as an advisor on state and federal healthcare compliance issues. He also has assisted in the development of alternative methodologies to help refute multi-billion dollar claims brought forth by government agencies. Mark is a Certified Public Accountant licensed in the State of Georgia, a Certified Fraud Examiner, and Certified in Financial Forensics. He has given numerous lectures on topics such as the red flags of fraud and compliance and fraud matters. Mark has been a guest lecturer at Emory University, University of Georgia, Georgia Institute of Technology, DePaul University, and the University of Minnesota. He has presented widely at industry conferences on topics including Aggregate Spend issues, Research & Development, and transparency issues with physicians.