Kirk S. JordanVice President and Founder, Integrity Research
Mr. Jordan has had extensive corporate ethics and compliance experience during the past fifteen years. Currently, he spearheads corporate ethics and compliance research and course development for Integrity Interactive. Prior to founding Integrity, Mr. Jordan spent seven years as President of Compliance Systems Legal Group, which he founded in 1992. Before that, Mr. Jordan was associated with the Skadden Arps Law firm, where he designed compliance programs and training materials.
Considered a leading authority on corporate compliance, Kirk has been quoted in many notable publications including the Wall Street Journal, Director's Alert, and the Report on Medicare Compliance. His articles have appeared in the ACCA Docket, the National Law Journal, the Preventative Law Reporter, The Practical Lawyer, and the Bureau of National Affairs' Prevention of Corporate Liability Reporter among other publications. Kirk has degrees from Cornell University and the Washington College of Law at American University. He is admitted to practice law in Delaware, the District of Columbia, Texas, and Rhode Island.
Paul RewEuropean Counsel, Integrity Research
Paul is an English solicitor, having started his professional life in Paris in 1972 with the global law firm, Clifford Turner (now Clifford Chance). His first in-house role was in Brussels with the US-based group, CPC Europe (Best Foods), followed by the cosmetics company, Avon Products. Paul held global General Counsel positions with other leading branded-goods and retail companies including Laura Ashley, Littlewoods and more recently, Head, the global sporting goods company.
He was a board member of the UK's Anti-Counterfeiting Group, and is an Associate Member of the Institute of Trade Mark Attorneys. Paul also belongs to the Association of Corporate Counsel Europe, the UK Law Society Commerce and Industry Group and the Institute of Business Ethics. Paul graduated in law at Liverpool University and subsequently undertook post-graduate studies in Strasbourg and at the University of Amsterdam.
Michael R. Levin, Esq.Vice President, Corporate Integrity Strategy
Mike Levin is an expert on strategies and tactics for reducing the risk of serious corporate integrity failure. His experience and expertise covers the full range of potential corporate integrity failures - including compliance, ethics, and corporate responsibility risks. Michael has designed best-practice corporate integrity programs for more than one hundred companies, and has initiated more than 25 major client relationships.
As Director of Corporate Integrity Strategy, Michael is responsible for developing new Integrity Interactive services in areas like corporate social responsibility and risk assessment, and further enriching Integrity's compliance and ethics offerings. Michael's responsibilities are global, and he works closely with Integrity personnel and clients located in North America, Europe, and Asia. Prior to joining Integrity in 2001, Mr. Levin practiced law in Boston for 6 years focusing primarily on civil litigation. He is a member of the New England Ethics Forum, the ABA's Compliance and Ethics Committee, the Society of Corporate Compliance and Ethics, and is a Certified Compliance and Ethics Professional.
Michael has a B.A. from the University of Maryland and a J.D. from the Massachusetts School of Law, where he was the Executive Editor of the MSL Law Review.
Andrea Falcione, Esq.Director, Compliance & Ethics Services
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Ms. Falcione works closely with some of Integrity's largest clients - including Ford Motor Company, Campbell Soup Company and The Coca-Cola Company - in her capacity as Director, Compliance & Ethics Services. Prior to joining Integrity Interactive, Andrea served as Senior Counsel at FleetBoston Financial, then the 7th-largest financial services company in the United States. While at Fleet, Andrea was a member of the Law Department's Risk Management Committee, and her practice areas included debt capital markets and global rate markets with an emphasis on high yield debt sales, trading and research, private placements, mergers and acquisitions, acquisition finance, securitization, syndication and fixed income. In addition, Ms. Falcione previously practiced corporate law at Day, Berry & Howard LLP, where she advised public, private and start-up companies on legal and compliance issues, primarily in connection with mergers and acquisitions, debt and equity financing and securities law. Andrea is a Certified Compliance & Ethics Professional and is a member of the Society of Corporate Compliance and Ethics. Ms. Falcione is admitted to practice in Massachusetts and Connecticut and is a graduate of Bucknell University and Boston University School of Law.
Meghan O'Keefe, Esq.Compliance & Ethics Advisor
Meghan joined Integrity in February of 2005. Prior to joining Integrity, Meghan served as an Associate at Tucker, Heifetz, & Saltzman, where her practice areas included general litigation, premises liability, professional liability, and environmental liability. Prior to joining Tucker, Heifetz, & Saltman, Meghan clerked with the Massachusetts's Teacher's Association, where she focused primarily on labor and employment issues. Meghan is admitted to practice in Massachusetts and is a graduate of Union College and Suffolk University Law School.
Bethany M. Machacek, Esq.Compliance & Ethics Advisor
Bethany served as an Associate at Murphy & Riley, P.C. before joining Integrity Interactive in January 2006. Bethany's practice areas included general litigation, with a focus on premises liability and insurance coverage. Prior to joining Murphy & Riley, Bethany was an Associate with Flynn & Associates, P.C., where her practice included general litigation and labor and employment issues. Bethany is admitted to practice in Massachusetts and is a graduate of Union College and American University's Washington College of Law.
Renee M. Sophocles, Esq.Compliance & Ethics Advisor
Prior to joining Integrity Interactive, Renee was an Associate at Hemenway & Barnes, where she practiced in the areas of probate litigation and estate planning and administration. While at Hemenway & Barnes, Renee also advised non-profit organizations on legal and compliance issues. In addition, Renee served as a law clerk for the Massachusetts Probate and Family Court. She is a graduate of Connecticut College and Boston College Law School, and is admitted to practice in Massachusetts. She is a certified Compliance & Ethics Professional.
John Tzouganatos, Esq.Compliance & Ethics Advisor
John joined Integrity Interactive Corp. in March, 2007. John comes to Integrity from Plymouth Rock Assurance Corporation, where he served as an attorney in their in-house law firm. While at Plymouth Rock, John's practice was primarily focused on insurance defense litigation. Prior to joining Plymouth Rock, John worked with Northeastern University's General Counsel's Office, where he focused on immigration issues and compliance, as well as contract matters. While in law school, John held internships with the Honorable Isaac Bornstein of the Massachusetts Superior Court, the U.S. Attorney's Office in Rhode Island, and Alston Hunt Floyd & Ing, a premier law firm in Hawaii. John is admitted to practice in Massachusetts and is a graduate of the University of Massachusetts in Amherst and Northeastern University School of Law.