Lindsay J. Timlin focuses on government and internal investigations, regulatory enforcement and compliance, and antitrust, as well as securities and derivative litigation.
Ms. Timlin represents clients in investigations and litigation involving corporate compliance matters, financial reporting and disclosure, accounting restatements, whistleblower claims and other inquiries by U.S. and foreign regulators and prosecutors, including representing numerous public companies in SEC investigations that have been closed without any enforcement action. She has conducted comprehensive reviews of corporate compliance programs and advised organizations on the implementation of best practices in regulatory compliance.