Ranked in 1 Practice Areas
1

Band 1

Forensic Accountants

USA - Nationwide

1 Years Ranked

About

Provided by Brad Wilson

Litigation Support

Practice Areas

Compliance & Monitoring, Litigation, Investigations, Valuation

Career

Brad Wilson, Managing Partner and CEO of StoneTurn, leverages more than two decades of experience in forensic accounting and forensic auditing to advise companies and their counsel on complex financial, accounting, valuation and compliance matters.

Brad has worked with clients involved in a wide range of complex litigation matters, including breach of contract, post-acquisition disputes, regulatory issues, allegations of unfair business practices and shareholder disputes. He has extensive experience quantifying damages, preparing business valuation analyses, and analyzing financial statements and records.

Brad has testified as an expert witness in state and federal courts, at depositions and in arbitrations. Brad has also led internal corporate investigations involving potential violations of the False Claims Act (FCA), improper accounting for government contracts, employee and executive fraud and embezzlement, and improper application of Generally Accepted Accounting Principles (GAAP). He has experience working with clients to determine scope, leading fact-finding activities and assisting clients in reporting the results of internal investigations to company management, boards of directors, regulators and criminal prosecutors.

Additionally, Brad has extensive experience assessing corporate compliance programs. He recently served as the deputy to the Department of Justice-appointed compliance and business ethics monitor to Deutsche Bank and an Independent Compliance Auditor for a Top 5 automotive manufacturer.

Professional Memberships

Member, American Institute of Certified Public Accountants (AICPA); Certified Public Accountant in Massachusetts (CPA); Accredited in Business Valuation (ABV); Member, Institute of Management Accountants; Certified Management Accountant (CMA); Member, Association of Certified Fraud Examiner (CFE); Board Member, Boston Partners in Education

Publications

“How Can Audit Firms Respond to Ongoing Regulatory Scrutiny?” Thomson Reuters, August 2023

"Investing in a culture of compliance during an economic downturn” Thomson Reuters, April 2023

“Corporate Monitorships: Lessons We’ve Learned For Today’s Compliance Programs” The Enforcement Angle, April 2023

“After a Chaotic First Half, What’s on the Horizon for Forensic Accountants in 2022?” CPA Practice Advisor, July 2022

“Compliance-Related Diligence Protects M&A ROI” Crunchbase News, October 2021

“SEC-Imposed Monitors,” Chapter 9 of the Practicing Law Institute’s SEC Compliance and Enforcement Answer Book (2020 Edition), with Jonny Frank

Tried-and-True Damages Theories: The Expert Perspective; Massachusetts Continuing Legal Education, Inc. February 2018

“SEC-Imposed Monitors,” Chapter 9 of the Practicing Law Institute’s SEC Compliance and Enforcement Answer Book (2017 Edition), with Jonny Frank.

The SEC and Private Funds: New Year, Same Focus, Law360, February 2016, with Tristan Cecala

Education

Boston College

M.B.A.

Fairfield University

Bachelors, International Business

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