Alexander counsels clients on global ethics and compliance strategies, cross-border investigations, and white collar prosecutions. Alexander advises and supports international organizations to develop and implement effective anti-corruption compliance programs. He also conducts global investigations for international companies, financial institutions, and individuals concerning a wide variety of matters, including the Foreign Corrupt Practices Act (FCPA), anti-money laundering laws, and securities regulations. He represents clients in connection with SEC investigations and enforcement actions, and individuals and corporations under investigation by the Department of Justice. Alexander also has substantial experience advising boards of directors on corporate governance and anti-corruption matters. Alexander recently served on the team of a government-appointed independent consultant for one of the world's largest financial institutions. He reviewed the institution's existing AML policies and recommended improvements to the corporate governance and compliance programs across Europe, Asia, and North America. Alexander has also represented clients in a broad range of litigation involving securities laws, the False Claims Act, and unfair competition.