Robertson Park attorney profile image

Robertson Park
C: (202) 680-4181
1001 G Street, N.W.
Seventh Floor
Washington, DC 20001
T: (202) 661-7022
F: (202) 661-7059

Rob is a Partner in the firm's Washington, D.C. office.  Rob joined the firm following twenty years of service in the Fraud Section of the Criminal Division of the Department of Justice.  Rob’s practice emphasizes white-collar criminal matters, enforcement investigations, internal corporate investigations, and compliance counseling.  He has specific expertise in foreign bribery (FCPA and UKBA), financial services fraud, securities fraud, and commodities fraud.    Rob is the founding member of the firm's White Collar Defense, Investigations, and Compliance Counseling Group.

During his tenure in the Criminal Division’s Fraud Section, Rob directed and coordinated some of the Department’s most important investigations and initiatives.  Between 1996 and 1999, Rob was a lead prosecutor of the Montana Freemen, resulting in his receipt of the Attorney General’s Award for Exceptional Service.  Rob also was a principal of the trial team in the matter of United States v. Frederic Bourke, Jr., a seminal prosecution of an individual investor under the FCPA.  Rob was the Criminal Division liaison to the CFTC and had associated coordination responsibilities with the Federal Energy Regulatory Commission (FERC).  One of the signature results of his work with the CFTC was the Fraud Section’s lead role in the LIBOR investigation, in partnership with the Department’s Antitrust Division, the CFTC and other international enforcement authorities.

Representative Engagements

    Government Investigations and Litigation

  • Represent a financial services firm in an ongoing FINRA investigation
  • Represent a senior energy trader in an ongoing FERC investigation.
  • Represent Country and Regional Manager for engineering firm in ongoing FCPA investigation.
  • Represent Country Director of Financial Services firm in ongoing FCPA investigation.
  • Represent financial services firm in ongoing Department of Justice inquiry into securitization of RMBS.
  • Represent senior broker with financial services firm in ongoing CFTC investigation.
  • Represent senior international sales executive in ongoing FCPA Investigation.
  • Regulatory Matters

  • Advising broker dealer affiliate of financial services firm on revisions to their AML and BSA procedures.
  • Advising global advisory and corporate relations firm on anti-bribery policies and procedures.
  • Provide compliance policy guidance to financial service firms.
  • Trading and Markets Counseling

  • Advise exchange on AML and KYC best practices.