Doug Cornelius

Doug is the Chief Compliance Officer at Beacon Capital Partners, a real estate private equity firm, registered with the Securities and Exchange Commission as an investment adviser. Before joining Beacon Capital, Doug practiced law with the law firm of Goodwin Procter LLP in their Boston office from 1995 to 2008. Doug is an Investment Adviser […]

Donald Griffith

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 […]

Erica Hitchings

Erica Blachman Hitchings is a member of the Whistleblower Law Collaborative LLC where she represents in matters involving violations of the federal and state False Claims Acts as well as violations of laws regulating securities, taxes, commodities and futures, customs tariffs and duties, foreign practices, and the banking industry. Prior to joining the Whistleblower Law […]

Dionne Lomax

Dionne Lomax is a Lecturer in the Markets, Public Policy and Law Department at Boston University’s Questrom School of Business and (by courtesy) at Boston University’s School of Law. Prior to joining BU, Dionne dedicated her legal career to analyzing complex business transactions from an antitrust regulatory perspective. As a Partner in two national law […]

Danielle Pelfrey Duryea

Danielle Pelfrey Duryea directs BU’s new Compliance Policy Clinic, which launched in spring 2020. Before returning to teaching, she practiced in the government enforcement practice group at Ropes & Gray LLP for five years, where she focused on pharmaceutical and medical device regulation and compliance. She was also a founding lead for the firm’s nationally-recognized […]