Bryan J. Sillaman is Managing Partner of Hughes Hubbard’s Paris office, and a member of the firm’s ESG and Anti-Corruption and Internal Investigations practice groups. During his time at Hughes Hubbard, Bryan has counseled clients across a range of governance and compliance issues, including the development, implementation, and enhancement of compliance and risk mitigation programs, the development of policies and procedures, due diligence relating to third-parties and joint venture partners, and internal reviews and audits of their global operations. Bryan has also spent significant time advising clients in connection with independent corporate monitorships and has traveled extensively in connection with his activities, including to Angola, Brazil, China, Indonesia, Malaysia, the Middle East, Nigeria, Russia, Thailand and Venezuela. Prior to joining Hughes Hubbard, Bryan was an attorney in the Division of Enforcement of the US Securities and Exchange Commission (SEC) where he earned a Division Director Award.
Jan Dunin-Wasowicz focuses his practice on cross-border compliance and regulatory enforcement, multi-jurisdictional internal and government investigations, as well as transnational litigation and international arbitration in both commercial and investor-State contexts. Having received full legal training in both the common law and civil law systems, Jan is an attorney-at-law and an avocat à la Cour. Jan is a member of the firm’s Anti-Corruption and Internal Investigations and Sanctions, Export Controls & Anti-Money Laundering practice groups. He has particular experience navigating the multi-jurisdictional and international aspects of compliance assessments and internal investigations. He has designed and audited compliance programs, performed internal investigations and due diligence reviews on third-party agents and joint-venture partners around the world, including in connection with the U.S. Department of Justice (DOJ), the U.S. Securities & Exchange Commission (SEC), the French Parquet National Financier (PNF) and anticorruption agency (AFA), the U.K. Serious Fraud Office (SFO), as well as multilateral development bank (MDB) and export credit agencies (ECAs) inquiries. Jan has experience assessing economic sanctions and export control compliance issues and from both U.S. and E.U. perspectives.
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