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AAFM Approved Certified Trainers in Wealth
Management, Tax, Compliance, Risk, Internatinal Investing, and Trusts.
These professors are part of the AAFM Alliance with the Diamond Graduate
Law Program and the Royal Society of Fellows under the recommendation
of Prof. Byrnes and Prof. Mentz. These professors conduct international
law, tax, finance and risk courses that are approved for AAFM Certification
Training.
"The Most Highly
Credentialed Group of Speakers on Earth" ™
List of AAFM Approved Law School Professors for Executive
Courses.
Dr. Joel M. DiCicco, Ph.D., CPA, PFS, CFF, CHE, CWM®
Dr. DiCicco has more than 25 years of practitioner experience in
the areas of finance, taxation and accounting. While he gained much
of his expertise in the valuation, tax treatment and structure of
sophisticated financial instruments from his tenure with the IRS Financial
Products Specialists division, his history includes work for the National
Futures Association, Republic National Bank, and Security Pacific
Merchant Bank. Currently, Dr. DiCicco is an adjunct Professor for
Florida Atlantic University’s Executive MBA program and the Managing
Partner at the DiCicco Financial Products Institute, LLC, providing
training in all areas of finance, accounting, and economics. Additionally,
he conducts certification programs for the American Academy of Financial
Management, as well preparation courses for both the Certified Financial
Planner and Chartered Financial Analyst exams.
Dr. DiCicco was twice invited to speak before Senate Finance Committee
staffers on hedge funds and other emerging financial products issues.
He was the Lead Instructor for all levels of the IRS Financial Products
and International Taxation courses and taught numerous seminars for
the IRS on topics such as Embedded Options, International Accounting,
and Hedge Funds. In addition, he spoke in a variety of venues on a
myriad of financial topics, including monetizations, financial synthetics,
hedge funds, and fair value accounting, just to name a few.
Dr. DiCicco earned his PhD in Public Administration at Florida Atlantic
University with a concentration in public budgeting and finance and
special emphasis on tax policy and structured financial products.
He also holds a Master of Business Administration in Finance from
Manhattan College and a Master of Science in Taxation from Florida
International University. He is a licensed Certified Public Accountant
in the states of New York and Florida. In addition, Dr. DiCicco is
a Personal Financial Specialist and Certified in Financial Forensics
by the American Institute of Certified Public Accountants. Lastly,
Dr. DiCicco is a member of the American Academy of Financial Management
and holds the Certified Chartered Economist and Chartered Wealth Management
certifications.
Dr. Tefera Tibebu Beyene, CWM®, Ch.E., has
more than 20 years of experience in the areas of management, accounting,
finance, and taxation. He has Corporate, Government, and Oversees
experience. Most of his tax accounting; tax treatment and structure
of sophisticated financial instruments experience gained from his
tenure with the State of Illinois Department of Revenue and with the
IRS Financial Products Specialists division. Dr. Beyene is an adjunct
Professor for many universities and teaches accounting, finance, and
economics courses. Dr. Beyene is a President & founder of International
Finance Training Institute LLC www.iftiti.net , providing training
in all areas of finance, accounting, and economics. Additionally,
he works with www.diciccofpi.com & conducts training programs
and administrates examination for American Academy of Financial Management
www.aafm.us. Dr. Beyene is named by AAFM as a chief nominator for
Ethiopia.
Dr. Beyene earned his PhD in Applied Management & Decision Sciences
concentration in Accounting from Walden University. He also holds
a Master of Business Administration degree with double concentration
in Accounting & Finance from Dominican University. He is a licensed
Certified Public Accountant in the state of Illinois. Dr. Beyene is
a fellow and member of the American Academy of Financial Management
® (AAFM) and holds the Certified Chartered Economist and Chartered
Wealth Management certifications. He is also a member of the American
Institute of Certified Public Accountants (AICPA); American Accounting
Association (AAA); and the National Association of Credit Management
(NACM) and holds the Credit Business Associate certification.
Dr. Simon Peter Horn has been Associate Professor
at the Graduate School of International Management of L’Ecole Nationale
des Ponts et Chaussees since 1993; professor at the International
School of Management, New York Institute of Technology; and visiting
professor at Thomas Jefferson School of Law, LL.M. in International
Taxation. He was Vice-president of Nautilus Biotech, S.A., responsible
for the commercialization of the firms research and development capabilities;
founder and CEO of Euro-Capital Group, Inc., providing full banking,
trusteeship, corporate management, executorships, and security services
to an International Private banking clientele; founder and President
of Athabasca Center Commercial Development Ltda., Canada, a real estate
development and investment group; and Director of Accounting of the
Government of the Province of Alberta, Canada. He holds a Masters
in Law (LL.M.) in International Taxation from Regent University; a
PhD in International Business, major in Finance; and M.B.A. in Finance
and marketing; and a BSc. in Economics.
Dr. Thomas A. Gionis, a United States Fulbright Scholar
in Law, United States Fulbright Senior Specialist Program, serves
as Chairman of the American Board of Healthcare Law and Medicine,
and is an Adjunct Professor of Law, St. Thomas University School of
Law ( Miami, Fl) in the Walter H. and Dorothy B. Diamond International
Tax LL.M. Program where he obtained his LL.M. degree. Dr. Gionis previously
taught International Health Law and Human Rights as an Adjunct Professor
of Law at STU. While obtaining his LL.M. at STU, Dr. Gionis served
as Editor-in-Chief of the Royal Society of Fellows Law Review, the
official publication and law review of the International Tax LL.M.
Program at STU and the Royal Society of Fellows. Additionally, Dr.
Gionis is a Fellow of the American College of Legal Medicine; Fellow,
International College of Surgeons; and Fellow, Royal College of Surgeons.
After completing high school at 16 years of age, Dr. Gionis completed
approximately 3 ½ years of college in one (1) year, and started medical
school at 17 years of age. He received his M.D. degree at 21, in 1975,
from the Medical University of South Carolina, whereupon Dr. Gionis
was reported as the youngest person in the United States to complete
this accomplishment. Dr. Gionis trained in general, thoracic and cardiovascular
surgery at Tulane Medical Center – Charity Hospital, New Orleans,
La., and completed his Emergency Medicine Research Fellowship at Harvard
University – Massachusetts General Hospital. Dr. Gionis received his
JD from the John Marshall Law School, Chicago (Cum laude). He was
a member of his law school’s Dean's List for every semester of law
school, was in the upper five in class standing, was a member of the
Honors Program and was selected as the Editor-in-Chief of the John
Marshall Law Review. Dr. Gionis is a member of the Phi Delta Phi Legal
Honors Society. Within one (1) year of graduation from law school,
Dr. Gionis published three law reviews articles (John Marshall Law
Review; Southern Illinois University Law Journal; American University
Law Review). Concurrent with his first year of law school studies
in Chicago, Dr. Gionis completed the Masters in Healthcare Administration
(MHA) program, at Seton Hall University, Center for Public Service.
Dr. Gionis delivered the Commencement address at the Seton Hall graduation.
Dr. Gionis also holds a Masters in Business Administration (MBA) from
the Pepperdine University , Graduate School of Business, where his
thesis was selected for inclusion in the Graduate School of Business
Library. As a United States Fulbright Scholar in Law, Dr. Gionis lectures
world-wide on the law of corporate director fiduciary duties; professional
attorney ethics; the Sarbanes-Oxley Act; international law; the international
protection of human subjects of clinical research and experimentation;
global commerce law and E-commerce, and the law of scientific evidence
law. Dr. Gionis has lectured regularly at Harvard University for the
past 14 years.
Prof. Stephen Polak, MSA, CPA/PFS, CFE, CFF, started
his career with the United States Government during the mid 1980s
as a "Staff Auditor" with the Department of Defense - Defense
Contract Auditing Agency and has spent the last twenty years with
the U.S. Department of the Treasury – Internal Revenue Service as
an "Internal Revenue Agent". Currently he is assigned to
a LMSB Financial Products group as a "Financial Products and
Transaction Examiner" where he is responsible for the examinations
of Financial Products used by Multi National Entities. Stephen Polak
holds a B.S. Accounting (summa cum laude) from Johnson and Wales University,
a M.S. Administration/Management (honors) from Saint Michael's College,
and currently is working on his J.S.M. International Tax and Financial
Services at Thomas Jefferson School of Law. He is a licensed Certified
Public Account, Insurance/Annuity Producer, Stock Broker/Registered
Investment Advisor (NASD/FINRA Series 7 and 66) and is a credentialed,
Certified Fraud Examiner, Personal Financial Specialist, and Certified
in Financial Forensics. His outside activities include reviewing manuscripts
for the "Journal of Accountancy" and "The Tax Advisor"
as an Editorial Advisor and participating in various professional
organizations in the Memphis, TN area, such as, the Tennessee Chapter
of Certified Public Accountants, Association of Certified Fraud Examiners,
and the Institute of Internal Auditors. Professor Polak is a regular
external/internal speaker for the Internal Revenue Service on advance
tax topics and has taught financial/computer accounting and individual/corporate
tax law at various colleges and universities.
David Lasky, CWM, MFP, prior to c0-founding Scimitar
Oryx Partners, was Global Head of Real Estate for Renaissance Capital
responsible for the asset management, principal investment and investment
banking real estate activities of the Renaissance Group. Prior to
joining Renaissance Capital, David was a Managing Director for Deutsche
Bank AG, London Head of Capital Markets EEMEA. In this capacity, he
was accountable for the debt and capital markets teams focusing on
the primary issuance of debt and equity from the EEMEA region on behalf
of Deutsche Bank’s clients. David is an board member of the Persiasans
Group, Ltd. of Nigeria, Nigeria’s foremost real estate development
company. He is also an advisory board member of Maximus Capital, an
asset management group focused on Eastern Europe. David is a British
and US citizen; he speaks English, German and Polish and has a working
knowledge of French, Spanish and Russian. David graduated from the
University of California and received a masters degree in Economics
from the Jagiellonian University of Cracow, Poland.
Deborah Burand directs the International Transactions
Clinic. Burand has divided her career to date nearly equally among
the microfinance sector, the U.S. government, and private practice.
Prior to joining the University Of Michigan School of Law faculty,
Burand worked for seven years in the microfinance sector. Most recently
she served as the Executive Vice President, Strategic Services, of
Grameen Foundation (a global microfinance network). Burand also is
a co-founder of Women Advancing Microfinance (WAM) International.
She also sits on the investment committee of a $75 million microfinance
investment fund managed by Deutsche Bank, and on the Advisory Council
of MicroVest, a specialized fund investing in microfinance. Prior
to entering the microfinance sector, Burand held several senior internationally-focused
positions in the U.S. government. She worked at the Federal Reserve
Board from 1989-1994 as a senior attorney in the international banking
section of the Federal Reserve Board’s legal division, and at the
U.S. Treasury Department from 1998-2001, first as the senior attorney/adviser
for international monetary matters, and then in a policy position
as the senior adviser for international financial matters. She also
worked for nearly seven years as an international corporate attorney
at Shearman & Sterling, a law firm in New York. During her time
at Shearman & Sterling, Burand provided pro bono support to Conservation
International as it transacted the world’s first debt-for-nature exchange.
She also represented bank advisory committees in restructuring the
sovereign debt of Brazil, Peru and Vietnam, among others.
James Lavorgna, JD, LLM, CWM, CFP is the President
& CEO of Forsyth Wealth Management, Inc., a Registered Investment
Adviser and Business Services International, Inc., an international
tax and wealth management advisory company. Business Services International,
Inc. also provides wealth management instructional courses for the
American Academy of Financial Management and the Royal Society of
Fellows. Starting in the financial services industry in 1976, Mr.
Lavorgna has provided extensive financial and estate planning services
to professional athletes, high net worth individuals and business
owners. He also works with non-profit organizations and clients that
have an interest in charitable giving, family wealth planning, and
asset protection. Mr. Lavorgna was an adjunct professor for investments
and financial planning at Sussex County Community College during the
1980’s and currently teaches accounting, computerized accounting and
business law, a course he developed for the Patrick Henry Community
College distance-learning program. He was a thesis promoter and teaches
international tax credits as an adjunct professor for St. Thomas University
School of Law Masters of Laws Graduate International Taxation program.
He now teaches as an adjunct professor for the Diamond Graduate International
Tax Program at the Thomas Jefferson School of Law. He is also a Certified
Instructor for the American Academy of Financial Management and currently
teaches the Chartered Wealth Manager and Chartered Trust and Estate
Planner designation courses. Mr. Lavorgna has been a financial planning
radio talk-show guest, an international public speaker (recently speaking
in the Bahamas, Cayman Islands and Barbados), has been quoted in trade
publications, and has independently published numerous articles. He
has written the Anguilla Chapter for the Offshore Financial Centers
Database for Richmond Publishing, London and is currently completing
a book on financial planning and investing called Educated Investing.
He also writes articles for ProducersWeb.com, a web magazine for professional
financial advisors with a membership of over three hundred thousand.
He is listed in the National Register’s Who’s Who in Executives and
Professionals 2001-2002 edition and has been listed in the 2005-2006
“Guide to America’s Best Financial Planners” published by the Consumers’
Research Council of America.
Coordinator for International Trusts and Entity Compliance
sub-specialty
Casimir Sayn-Wittgenstein, CWM, MFP, prior to co-founding
Scimitar Oryx Partners, was Senior Vice President at Renaissance Investment
Management, where he helped to launch an Emerging Europe Hedge Fund.
As part of the African Origination and Structuring team at Renaissance
Capital, Mr. Sayn-Wittgenstein focused on Investment Banking, Real
Estate as well building Renaissance's Middle Eastern operations. Prior
to joining Renaissance, Casimir was a Senior Officer at EIM Group
in London where focused on Family Offices and HNWI. In 2004, Mr. Sayn-Wittgenstein
joined EIM Group from Pictet & Cie where he was an Investment
Manager in Private Clients and Global Custody. Casimir is a German
and Austrian Citizen; he speaks English and German fluently and has
a working knowledge French and Spanish. Casimir studied European Business
Administration (BAEBA) at the European Partnership of Business Schools
and graduated from Hendon Business School specialising in Management
and Marketing. Mr Sayn-Wittgenstein currently serves on the Advisory
Board of Armira Partners a private equity investment vehicle focussed
on Germany, Austria and Switzerland. Casimir is the Chairman of the
Royal Society of Fellows, the premier professional cross-disciplinary
society that educates, trains and certifies professionals in international
tax, compliance, anti-money laundering and corporate and computer
security. He is a member of the International Council of the Salk
Institute for Biological Studies.
Michael Preiss, CWM, CMA, RFS, MFP - Preiss is Founder
& Chief Investment Strategist of African Asset Management Ltd.
Previously he served in the Investment Advisory Group at HSBC Private
Bank, serving clients in the Middle East and South Asia. He is also
a Director and Economic Advisor to Ceylon Asset Mangement in Sri Lanka.
Index Committee member, involved in launching the Celyon Index Fund,
the 1st Index fund on the Colombo Stock Exchange. Advisor on Global
Board of Standards on Wealth Management and Private Banking curriculum
for the Middle-East and Asia with the American Academy of Financial
Management (AAFM). He also served as Director and Research Fellow
at The Asian Bond Market Forum, a Hong Kong based non-profit think-tank.
The ABMF provides policy research on the development of Asian local
currency bond markets and advises on bond-market issuance programs
and infrastructure development. In this role, Mr. Preiss was working
with Thailand’s Ministry of Finance, as one of the founding members
of the Asian Bond Market Development Secretariat in Bangkok. A regular
guest commentator on Bloomberg TV, CNBC Asia, and the BBC as well
as India’s New Delhi Television, a columnist for finance magazine’s
in Hong Kong and China, as well Singapore’s Business Times where he
contributed the regular “Executive Money Matters” column. He has also
been an guest lecturer at the Chinese University of Hong Kong where
he taught on Technical Analysis as well as a course on Banking &
Financial Institutions with a focus on China’s Financial System. He
also taught at the School of Finance – Renmin University in Beijing
and has been invited to design a course curriculum on “Fixed Income
Securities” for the Graduate School of The People’s Bank of China,
China’s Central Bank. Mr. Preiss is a graduate of the European Business
School with a major in Finance and international economics, having
studied at the schools centers in London, Paris and Bologna, Italy
in the respective local languages. In addition he studied in Japan,
Korea, and China.
Richard West, (Hon. Guest Lecturer for Law School
Courses) is admitted to the bar in Louisiana, New York and England
& Wales, and holds FINRA Series 7, 24 and 63 licenses. He is currently
General Counsel / Chief Compliance Officer - Pipeline Trading Systems
LLC. Prior to joining Pipeline, Mr. West was the General Counsel and
Chief Compliance Officer at SecondMarket, Inc. (f/k/a Restricted Stock
Partners), where he was responsible for all legal affairs of the company.
Before joining the NRE, Mr. West was a principal of West Law Firm,
LLC of New York, which he founded in 2000. Before founding West Law
Firm, he practiced law for six years with major law firms in New York
and New Orleans, specializing in corporate governance, litigation,
and director and officer liability. Mr. West graduated with a J.D.
from Loyola University School of Law and a B.A. from Tulane University.
Dr. Daniel Schwartz Ribbens Esq. obtained his B.A.
and LL.B from the Stellenbosch University, Stellenbosch, and his LL.M.
and D.C.L (Doctor in Civil Law) from McGill University, Montreal,
Quebec wherein he published his first Ph.D. thesis The Personal Fiduciary
Character of Members’ Interse Relations in the Incorporated Partnership.
He holds a second Ph.D. from Cambridge University, 1986. Thesis titled
In Quest of the Appropriate Code for the Ideal Form for the Proprietary
Business. He has published law reviews and a great number of other
legal writings.
His successful law practice has been combined with a prominent teaching
experience. From 1975 to 1985 he was Senior Lecturer and Associate
Professor of Company, Partnership and Insolvency Law at the University
of South Africa. From 1987 to 1992, he was part-time lecturer of Company
and Partnership Law at the University of Cape Town. He was also part-time
lecturer in Trust and Legal Entities, Derivatives Actions, Class and
Public Interest Actions at the International Law and Tax Institute
in Johannesburg. Professor Ribbens has given numerous conferences
in his areas of expertise world wide. Professor Ribbens has been Public
Prosecutor for the Department of Justice in Johannesburg; Commercial
Law attorney for top law firms in Johannesburg for more than 20 years,
and Legal Advisor for the Merchant Bank and Stockbrokers in Johannesburg.
From 1986 to 1994, he worked as Intellectual Property Attorney for
a law firm in Pretoria.
Hannah Bible Esq., has worked as an advisor to the Asian-African
legal Consultative Organization at the United Nations speaking in
the General Assembly, scripting legal language for various UN resolutions,
and acting as a general advisor within the 6th committee on various
legal matters and the 3rd committee regarding economic/ financial
issues. Additionally, she has acted as a legal adviser to The World
Conservation Union, Pax Romana, and other Intergovernmental organizations
within the UN system. She has chaired and continues to sit on several
NGO committees relating to microfinance, financing for development,
and other initiatives. After attending Fordham School of law and graduating
from St. Thomas University School of Law with honors, Ms. Bible acted
as an assistant teacher of tax and contracts. Ms. Bible graduated
with an LLM in Taxation from New York University and has a BBA in
Accounting and prior to law school worked to structure internal compliance
mechanisms and headed the reporting of financials for several multi-million
dollar non-for-profit projects. As a faculty member of the Walter
H. & Dorothy B. International Tax & Financial Services Graduate
Program of the Thomas Jefferson School of Law (San Diego), Ms. Bible
teaches the law of international trusts & business organizations
as well as United States income tax. Ms. Bible is currently a member
of the tax section of the Florida Bar.
Anti-Money Laundering and Compliance oriented faculty
Coordinator for Anti Money Laundering and Compliance Specialization
Dr. Robert Munro is the author of twenty-three published
books including the five-volume Money Laundering, Asset Forfeiture
And International Financial Crimes and the three-volume Cybercrime
And Security. A tenured law librarian at University of Florida College
of Law, Dr. Munro is the Co-Director of the Center for International
Financial Crimes Studies and a Senior Research Fellow and Director
of Research for North America of CIDOEC at Jesus College, Cambridge
University. His expertise is concentrated on International Financial
Crimes, Organized Crime and Intelligence Analysis and he has addressed
audiences at Cambridge University, the University of Florida, the
University of London, the CIA and the U.S. State Department. He has
also created, organized and chaired over 20 conferences on these topics
in Miami, Aruba, Curacao, the Bahamas, Washington, D.C., New York
City and San Francisco. He is a Barrister and an Attorney at Law.
Alan E. Brill is senior managing director for Technology
Services at Kroll Ontrack and leads Kroll’s global high-technology
investigation and computer forensic services. With an international
reputation in computer and communication security, technology crime
response, forensic science and electronic evidence, Alan has completed
large-scale information security reviews for multi-billion dollar
corporations. He also has experience in criminal investigations of
computer hackers, frauds on the Internet, identity theft, misappropriation
of intellectual property, as well as telecommunication-related frauds.
Prior to joining Kroll, Alan was director of the Information Systems
and Information Security bureau of the New York Department of Investigation,
where he served as the senior government official responsible for
information security, and deputy inspector general in New York City.
Alan was also director of professional services for Yourdon Consulting
Group and senior manager at Ernst & Whinney (E&W), now Ernst
& Young where he co-founded the Data Systems Security Review practice.
In the United States Army, Alan served as a project officer on the
Army General staff during the Vietnam War, as an advisor on computer
and information security policy in the Office of the Secretary of
Defense, and as military liaison to the New York City Police Department.
He is a major in the U.S. Army Reserve and was visiting faculty for
the U.S. Secret Service, the Federal Bureau Investigation (FBI) Academy,
the Federal Law Enforcement Training Center and the Federal Financial
Institutions Examination Counsel. Alan has also lectured for the John
F. Kennedy School of Government at Harvard University and has spoken
at events for the American Institute of Certified Public Accountants
as well as at the National Convention of the American Bar Association.
He has also taught at Practising Law Institute, Federal Bar Association,
National Bar Association and Federal Bar Council functions.
Thomas V Cash Senior Managing Director for Kroll
before joining Kroll Associates in 1994, Mr. Cash held executive positions
in the U.S. Justice Department’s Drug Enforcement Administration (DEA)
with extensive experience in conducting investigations and money laundering
investigative operations in over 30 countries. With specializations
in Europe, the Caribbean and Latin America, Tom served seven years
as Special Agent in Charge of DEA’s Florida and Caribbean Division,
consisting of 13 domestic and 11 foreign offices. From 1995 to 2000,
Tom served as Senior Managing Director for Kroll Associates’ Latin
American region. During that time Mr. Cash installed money laundering
systems for major Mexican and Dominican banks that were later put
to the test when the United States government seized $7 million from
these banks in a sting known as “Operation Casablanca”. Subsequently
all the money was returned. Tom has also been involved in overseeing
numerous kidnapping and ransom matters in Latin America as well as
assisting corporations in the taking of precautions to prevent these
types of disasters through utilization of armored vehicles and family
and driver training in kidnapping prevention. With an extensive background
in international narcotics trafficking, money laundering and fraud
investigations, Mr. Cash has testified as an expert witness in Federal
courts and has personally led some of the most significant United
States International investigations ever attempted by the United States
Government. In 1990, Tom received “Das Verdienstkreuz 1.Klasse”; the
Highest Civilian Award bestowed by the Federal Republic of Germany
for exceptional service. He is also the holder of the Presidential
Rank Award presented by President George Bush in 1991 for distinguished
service. Mr. Cash received a B.A. from Georgia State University, completed
a Graduate Program in Public Administration at American University
of Washington D.C. and has attended Harvard University’s John F. Kennedy
School of Government.
Phillips G. Gay, Jr., annually provides the AML training
for 30 of the 50 state banking associations, as well as speaking at
several national and regional banking association events. Moreover,
he trains bank associations on bank security. He was a Senior Vice
President at the Commercial Bank of Florida, in Miami, and President
of the Compliance Advisory Service in Coral Springs. Before this,
he managed the Compliance/Community Reinvestment Act programs for
the Bank of North America, and for First Union Corporation. He is
a founding partner and senior advisor of the Paragon Compliance Group.
Phil attended the University of Alabama and Florida State University,
earning a Bachelor of Science in Management and Business Administration.
He is a High Honors graduate of the School for Bank Administration
at the University of Wisconsin and National Graduate Compliance School
and has served on their faculties. He holds the designations of Certified
Regulatory Compliance Manager, Certified Risk Professional, and Certified
Anti-Money Laundering Specialist.
Richard Stephenson (see his bio above) formerly
Senior Vice President, Chief Compliance Officer and General Counsel,
Home Loans and Consumer Lending at Washington Mutual, Of Counsel to
the Financial Services Practice Group of Morrison & Foerster,
LLP, and Senior Counsel at Bank of America.
Alan J. Hazen is the President of the National Association
for Bank Security, Ft. Lauderdale, Florida. The company provides training,
products, publication of a monthly newsletter and consulting services
to financial institutions on bank secrecy, anti-money laundering and
bank security matters. He had 33 years of international and domestic
law enforcement experience with the U.S. Department of Justice, Office
of the Inspector General, the U.S. Immigration Naturalization Service,
the U.S. Agency for International Development and the New York State
Special Prosecutor’s Office. Mr. Hazen served as the Special Agent
in Charge for the U.S. Department of Justice, Office of the Inspector
General, Miami Field Division, which was responsible for the Southeast
of the United States and Caribbean. He served as the Regional Inspector
General in Charge of Investigations for USAID in Africa and in Cairo,
Egypt. During his 33-year career, he investigated, supervised and
managed numerous investigations of organized crime groups, financial
crimes, gangs, cartels and terrorist organizations. Mr. Hazen traveled
to over 40 countries while working for the U.S. government. He has
been an adjunct faculty with the State University of New York, University
of Phoenix and American Inter-Continental University teaching 35 different
courses in Criminal Justice. Prior to retiring from the U.S. Department
of Justice, he traveled to Hungary, Latvia and Jamaica as part of
a training team for the Overseas Prosecutorial Development Assistance
Training Program. The teams consisted of a Federal Judge, two Assistant
United States Attorneys, and an FBI agent. The training was on detecting,
investigating and prosecuting corruption cases to judges, prosecutors
and law enforcement officers from these foreign countries. He holds
an M.S., Criminal Justice, Eastern Kentucky University, Richmond –
Fellowship, U.S. Department of Health, Education and Welfare and B.S.,
Law Enforcement, Eastern Kentucky University, Richmond.
Susan Wind has has worked with the Department of
Juvenile Justice, Probation/Parole field and numerous Law Enforcement
Departments. Her area of expertise includes: Survey design and instrumentation,
research methodology, data collection, grant writing and administration,
program design and implementation, statistics and profiling, crime
analysis, investigations, GIS (Geographic Information Systems) applications
and database administration. While working in law enforcement, she
has served on numerous tasks forces including: Felony Lane (Identity
Theft), Terrorism and Auto Theft. She was responsible for designing
and administering databases for intelligence gathering as well. She
is a Certified Crime Analyst (IALEIA) and a Certified Research Planner
(IALEP). She is now conducting consulting work with Profit Protection
Inc, National Association for Bank Security. She assists with research
and training curriculum for bank security - (Identity Theft, Cyber
Crimes, Internet Fraud), presents training on specific areas at state-wide
conferences, publishes articles for monthly newsletters and brochures
(pertaining to cybercrime and identity theft topics). Susan has also
been teaching for approximately six years with numerous Universities
(on-line and on-ground). During this time, she has created and developed
curriculum, lectures and training materials for different courses
in the law enforcement field.
Her M.A. Criminal Justice - Susan Wind obtained a Master of Arts Degree
in Criminal Justice from Rutgers University, NJ and a Bachelor of
Science Degree in Criminology and a minor in Psychology from the University
of Tampa, Florida.
International Tax Planning oriented faculty
Walter H. and Dorothy B. Diamond, the benefactors
of the LLM Law School program, who became, throughout their nearly
seventy year career, the most renown names in the field. Walter H.
Diamond is a respected international tax authority and economist.
He is co-author, with his wife, Dorothy, of 81 tax and trade books
and more than 100 investment booklets. He has written 500 speeches
covering the international scene. His weekly and monthly columns appear
in The Financial Times and Offshore Investment magazine. Example Publications
include Diamond's International Tax Treaties of All Nations (Oxford
University Press), Global Guide to Investment Incentives and Capital
Formation (Kluwer), International Trust Laws & Analysis (Kluwer),
A State by State Guide to Investment Incentives and Capital Formation
in the United States (Kluwer), Foreign Tax and Trade Briefs (Matthew
Bender). International Withholding Tax Treaty Guide (Matthew Bender),
Tax Havens of the World (Matthew Bender) and One of a Kind: Learning
the Secrets of World Leaders (Syracuse University Press).
Walter H. Diamond, a widely-known international tax
authority, whose serviced tax publication Foreign Tax and Trade Briefs
was the first compendium of its kind when published by Matthew Bender
in 1950, and still is the "bible" in the field covering
current tax laws of 120 countries, is a United Nations Tax Treaty
and Free Trade Zone Advisor as well as Editor and Economist of Overseas
Press and Consultants. A former Director of International Taxation
and Manager of International Taxes for Deloitte Touche and KPMG Peat
Marwick respectively, Mr. Diamond also served as Director of the Economics
Department of McGraw-Hill International Corporation and Editor of
the McGraw-Hill American Letter. Before joining McGraw-Hill, he was
Economist for the Public National Bank and National Bank Examiner
in the Second Federal Reserve District, having been in charge of liquidation
of foreign banks and businesses for the Alien Property Custodian during
World War II.
Mr. Diamond is a graduate of Syracuse University and the American
Institute of Banking with post-graduate work at Syracuse and New York
Universities in international finance. As a United Nations and US
AID Advisor, he has handled assignments for more than 50 countries
involving taxation, investment, trade development, free trade zones,
treaties, export insurance and offshore banking. Mr. Diamond received
citations for his assistance in this work from Chief Executive of
Honduras and former U.S. Secretary of Treasury Henry Morgenthau, Sr.,
while former President Eisenhower appointed him to the French Trade
Mission to handle investment and tax problems. As a Foreign Analyst
of the Federal Reserve Bank of New York, Mr. Diamond helped to prepare
foreign exchange recommendations for Bretton Woods.
Dorothy B. Diamond is an author and editor of Overseas
Press and Consultants in Hartsdale, New York. Aside from being an
author for legal publishers, Mrs. Diamond has contributed articles
to national magazines and written travel features for the New York
Times, New York Post, Trans World Airlines and the Pan-Am World Guide.
A pioneer in consumer education, she was a columnist for two leading
trade magazines and wrote 50 booklets on consumer affairs. She won
an award from the Merchandising Executives Club of New York City.
Mrs. Diamond has enjoyed the honor of being the first woman to address
the Stockholm Advertising Club, Barbados Central Bank, and International
Tax Planning Association. Mrs. Diamond received her B.A. degree with
highest honors from Wellesley College, is a member of Phi Beta Kappa,
and obtained a Master of Science degree from Columbia Graduate School
of Journalism.
Dr. William Lee Andrews III, Esq. is an international
tax attorney, educator, scholar, and entrepreneur. As a recognized
authority on global fiscal planning Dr. Andrews works closely with
the top legal and financial companies in the world. Dr. Andrews is
a prolific writer, having authored a number of articles on subjects
such as space tax law, e-commerce, and international tax. He recently
completed a book on the Taxation of Space Commerce for Kluwer Law
International. Dr. Andrews has been a member of the ABA, American
Society of International Law, International Bar Association, International
Fiscal Association, International Tax Planning Association, and Virginia
State Bar Section on Taxation. His language capabilities encompass
Greek, Hebrew, Latin, and Spanish. An honors student who majored in
economics Dr. Andrews received his B.A. from Washington & Lee
University as well as an M.B.A. from the College of William &
Mary. His legal training consists of an LL.M. in Tax, with a concentration
in international tax, from the Georgetown University Law Center, where
he achieved the high award of "Distinction," and a J.D.
and LL.M. in International Tax from Regent University School of Law
where he also was an International Tax Fellow. Dr. Andrews also is
an ordained minister, holding degrees of Master of Divinity and Doctor
of Ministry. To the benefit of his employees and associates he always
has applied his theological training to sound business and legal practices
and has written extensively in this regard. Previously Dr. Andrews
worked closely with La Salle Street legend R. Marshall Barnes as a
licensed securities principal and investment banker. He also is adept
at founding companies and pioneering new concepts. He has "birthed"
or played a major role in spawning some twenty-three companies. Andrews
Hunter Company has supplied a range of stores, from Brookstone and
Hammacher Schlemmer to K-Mart, with proprietary products. Dr. Andrews
operates his own law practice, is a lead online Professor at an M.B.A.
program, and an adjunct LL.M. International Tax Professor and JSD
Supervisor. As an attorney he is licensed both in the Commonwealth
of Virginia and in the Commonwealth of Dominica, serving, inter alia,
as outside general counsel to various global entities and as Board
Chairman for EPI-USE America, Inc.
Marshall J. Langer, Esq. is one of the top five
known authors and speakers in the field of international financial
services. He was an attorney for many years with Shutts & Bowen,
though retired, is still of counsel. Mr. Langer's first book, How
to Use Foreign Tax Havens, was published by the Practising Law Institute
(PLI), New York, in 1985. The third edition, Practical International
Tax Planning, published by Practicing Law Institute in 1985, is in
loose-leaf format and is updated every year. Mr. Langer is co-author
(with Professor Rufus Rhoades) of the 6 volume set published by Matthew
Bender, Rhoades & Langer, U.S. International Taxation and Tax
Treaties. Mr. Langer and his co-author update this loose-leaf set
four times per year. For nearly a decade he served as a Diplomat for
Trade and Investment for the Government of Grenada. He has previously
served as President of the Greater Miami Tax Institute and Vice President
of the U.S.A. Branch of the International Fiscal Association (IFA).
He has also served on the Executive Council of the International Academy
of Estate and Trust Law and is currently on the advisory committees
of the International Tax Planning Association (ITPA) and the American
Tax Institute in Europe. In his nearly sixty year career, Mr. Langer
has been one of the most prolific global speakers in the field. At
the University of Miami, Mr. Langer became the first summa cum laude
graduate in the history of the law school, where he also went on to
teach. He was also Comment Editor of the Law Review, Chief Justice
of the Appellate Court, and a member of two honorary societies, Omicron
Delta Kappa and Iron Arrow.
Dr. Michael Edwardes-Ker, Esq. holds a M.A., LL.B.,
and Ph.D. from Cambridge University, London. He has specialized in
international tax since 1970. A British solicitor, Michael trained
with leading legal and accounting firms in London, Munich and Paris.
In 1973 he wrote (with John Chown) The Acquisition of Assets, Companies
and Real Estate in Belgium, France, Germany, The Netherlands and the
UK, published by the Financial Times. For 6 years he wrote the renowned
International Tax Strategy Service. He has been the editor of the
International Tax Treaties Service and Tax Treaty Interpretation since
they were first published in 1977 and 1994 respectively. He was a
Director, and member of the Executive Committee of a New York Stock
Exchange quoted corporation.
Kithsiri L. De Silva is a New Zealand revenue official that
specializes on the taxation of multinational enterprises. He commenced
his tax career as an assessor in the Sri Lankan Department of Inland
Revenue where he worked for eleven years specializing in tax intelligence.
The Commonwealth Fund subsequently assigned him to the Technical Cooperation
(CFTC) as a tax expert to the Department of Taxes, Kenya. After his
stint in Kenya, he joined the Department of Taxes, Kenya. Then, he
joined the Department of Taxes in Botswana where he worked for sixteen
years and served as assistant commissioner in charge of the investigation
and intelligence division. During this period he conducted and concluded
several highly successful investigations of large multinational companies
operating in South Africa. He currently is an investigator at the
Corporate Segment of the Department of Inland Revenue, New Zealand.
Kithsiri De Silva has devoted much of his time to the teaching of
taxation. He has lectured at the Academy of Administrative studies
in Sri Lanka, the Department of Taxes and Institute of Bankers in
Botswana, and the Institute of International Taxation in Johannesburg,
South Africa. At the invitation of the Commonwealth Association of
Tax Administrators in 1996, he presented a paper on the taxation of
multinational enterprises at the 17th CATA technical conference held
in Harare, Zimbabwe. He has trained Revenue officials in Botswana,
Zambia and Swaziland on Tax intelligence and the investigation of
multinational enterprises.
De Silva’s research papers on taxation have focused on developing
countries and covered administrative and organizational aspects of
tax intelligence and investigation work. His paper on Botswana’s Corporate
Tax Intelligence System was published by the IBFD. He has presented
papers on Sub Sharan Taxation, transfer pricing and the investigation
of multinational companies in Africa at international seminars and
conferences. Besides his regular duties, he currently is working with
developing country revenue departments, such as in South America,
on tax collection matters, including software implementation and taxpayer
database building.
Knut Olsen is currently completing his Ph.D. at Dundee University
in Scotland, having received his LL.M. from the Diamond program, and
is now Head of Global Tax & Legal for a Nordin based multinational
corporation with responsibility for 80 countries of operation, overseeing
over 100 subsidiaries. He was formerly a tax and VAT inspector in
Norway, has 25 years experience within taxation. For 4 years he was
a lecturer at the Directorate of Taxes for County Tax Inspectors,
where he had the sole responsibility for the tax syllabus for the
2nd year students. He was also lecturing at the Norwegian School of
Management, Ostfold Regional College and Oslo Advanced College. He
is engaged as an international tax course supervisor by PricewaterhouseCoopers,
where he gives lectures for the tax lawyers.
His Ph.D. subject is within international petroleum taxation / tax
treaties. He fulfilled a LLM and a certificate in international taxation
at St. Thomas University, Miami in 2003. He is also authorized as
a legal services provider, equivalent to a chartered tax advisor,
and as an authorized account. Furthermore, he has Special Subject
Examination in Tax Law and 3 years of examination of law.
Dr. Chaowu Jin (Horace King) was employment officer for the Bureau
of Labor and Personnel, Hunan Province, PRC, from 1990 to 1994; and
Assistant Attorney for the second major law firm in Hunan Province,
PRC. He has been attorney at law and legal counselor for major law
firms and companies in China. In 2000, he founded and was General
Secretary of Peking University Institute of Legal Translation Studies
(ILTS). Mr. King has been lecturer of International Business Law at
the Guangzhou University, and the University of New South Wales.
He has written several law articles, and 5 books on Law and Economics,
published in both English and Mandarin. He holds a J.S.D with major
in Economic Law from Peking University School of Law; a M.A. with
major in Translation Studies from the Changsha Railway University;
and a B.A. from Changsha Railway University Department of Foreign
Languages. He holds the LLM, Tax from University of Florida. He speaks
Chinese and English fluently.
Prof. Daniel N. Erasmus, founder of EFG Attorneys,
& Chairman and CEO of TRM Services, pioneered the advancement
of taxpayers’ rights in matters of taxation, ultimately developing
a system of tax risk management to circumvent the adversarial nature
of tax controversies with tax authorities. He is a world-wide leader
in this area of taxation, having taught thousands of professionals
& delegates at workshops the principles of tax risk management,
and how to implement these principles in MNE’s, internationally.
Prof. Erasmus started his tax career in the mid 1980's at Deloitte
& Touche. Shortly thereafter he joined the tax department of Hofmeyr
Attorneys, where he was soon appointed the youngest equity director
of that firm. After a number of years, he left to form his own tax
law firm, attracting various multinational clients, and later headed
the tax department of former 100 year old law firm Moss Morris Attorneys.
He was the chairman of the Law Society of South Africa's Tax Matters
Committee for more than seven years, and still is a member of that
committee after it merged with the exchange control committee (serving
as chairman and member for more than 10 years). He is co-founder and
former lecturer of the University of Johannesburg's Diploma in Tax
Practice program, and co-authored VAT for Lawyers: A Guideline; CGT:
A Guideline, and more recently Lexis Nexis Butterworth’s Exchange
Control & Income Tax Amnesty Handbook. More recently he has convened
the first Certificate in Tax Administration in South Africa, and is
a professor of International Tax Planning at the Thomas Jefferson
School of Law, in San Diego, California. Prof. Erasmus was on a sub-committee
on the Katz Commission of Inquiry into Taxation in South Africa, and
has been a member of the VAT technical committee for SARS. He is also
the founder of the dedicated tax website: http://www.taxtalk.co.za,
founder and contributing editor of the successful tax magazine TAXtalk,
hosted the tv show TAX Issues on an African satellite business channel
(his interviews ae available on youtube - search taxradar) and lectures
extensively on various specialist subjects in the field of taxation.
As a result of his courses he has guided and also consulted many leading
MNE's, including SABMiller plc - in South Africa, Africa, East Europe
and has been approached to assist in Western Europe, Old Mutual plc,
Accenture, Nampak Ltd, AECI Ltd, Sasol Ltd, WBHO Ltd, Anglo American
plc, Barloworld Ltd, The SA Post Office Ltd, Group 5 Ltd, Vodacom
Ltd, Tsogo Sun Group, ABSA (part of the Barclays Group) and other
prominent companies.
Roy Rohatgi C.A. retired in 1994 as an international
partner in Arthur Andersen, being both a partner in its UK firm and
the Managing Director and Founding Partner of its Indian firm. He
has published three books on International Taxation, one with Kluwer
and two with Richmond Law and Tax. He graduated in economics from
London University and is a Fellow of the Institute of Chartered Accountants
of England and Wales and of India. Mr. Rohatgi serves as the academic
director and professor for the diploma course organised by the Financial
Services Promotion Agency in Mauritius. And has been the conference
director of the leading conference on international taxation in India
held annually in Mumbai (Bombay) since 1995.
Prof. Robert Anthony C.A. is the Principal Partner
of Anthony & Cie headquartered in France. He is a British Chartered
Certified Accountant and is a Professor at Valenciennes University
School of Law (France). He is a member of International Fiscal Association
and International Tax Planners Association. Prof. Anthony has over
the years submitted large number of publications to various professional
journals such as Tax Analysts, Accounting & Business, French Property
News, FT Expat, International Tax Report, La Tribune, Riviera Times,
Shore to Shore, Sunday Business Post, Taxation Practitioner, Tax Planning
International, l'agefi Switzerland, amongst others. He also authored
the book "International Fiscal Strategy" published by Monitor
Press in London in March 1998 and lectures at the faculty of law of
Nice University.
Prof. Alwyn de Koker C.A. is Professor of Taxation
in the School of Accountancy in the Faculty of Commerce, Law and Management
at the University of the Witwatersrand, Johannesburg, and Director
of the Masters of Commerce of Taxation. He is a member of the Committee
of Academic Advisors and Adjunct Professor at the Thomas Jefferson
University School of Law and was formerly an Honorary Professor at
St. Thomas University School of Law and also the School of Law at
Regent University, Virginia Beach, USA. He has delivered papers on
international tax, which is his area of expertise, at various conferences
worldwide. He has published extensively and is the author, amongst
others, of the definitive tax work entitled Silke on South African
Income Tax and the Silke Tax Yearbook as well as co-author of Value-Added
Tax in South Africa published by LexisNexis. He is an Executive Board
member of the Royal Society of Fellows and an Advisory Board member
of the Foundation for Fiscal Studies. He is also an Advisory board
member of the Royal Society of Fellows Law Review. He obtained his
Bachelors degree in accounting from the University of Cape Town and
holds a Master of Commerce in Taxation and a Higher Diploma in Taxation
from the University of the Witwatersrand, Johannesburg. Professor
de Koker is a member of the Public Accountants’ and Auditors’ Board
in South Africa and a member of the South African Institute of Chartered
Accounts. He is also a Vice-President of the Offshore Institute in
Geneva, Switzerland. Professor de Koker has received significant awards
such as Distinguished Lecturer.
Stephen Gray Esq. was educated at Johns Hopkins University
(B.A.), American University (J.D., cum laude), and Georgetown University
(LL.M. --Tax). He served eleven years in the United States government,
as a Page in the United States Senate; an intern at the Administrative
Office of the United States Courts; an intern at the Judicial Panel
on Multidistrict Litigation and the Federal Judicial Center; an Examiner
in the United States Copyright Office, Library of Congress: a Federal
law clerk to the Trial Judges of the United States Court of Claims
and then to the Chief Judge of the United States Court of Claims (now
called the Federal Circuit); and lastly as a Trial Attorney in the
Appellate Section, Tax Division of the United States Department of
Justice. He taught Appellate Advocacy and Brief Writing in the Attorney
General's Advocacy Institute, has taught regular courses for the European
Tax Institute in London and Dublin. He is a Director of the International
Tax Planning Association and have for many years sat on its governing
board, called the Executive Committee. He is a member of the bar of
the Supreme Court of the United States, virtually all the bars of
the twelve United States Court of Appeals, the Tax Court, the United
States District Court for the District of Columbia, the District of
Columbia Court of Appeals, and the Supreme Court of Virginia. He published
over 50 articles on international tax planning in various countries
of the world and have spoken at tax conferences throughout the world
have been practicing now for more than 33 years.
Denis Kleinfeld Esq. is a Shareholder of Rothstein
Rosenfeldt Adler, P.A. He originally served as an attorney for the
Internal Revenue Service in the Estate and Gift Tax Division for four
years and then entered into private legal practice in 1975, establishing
Kleinfeld & Associates. Currently, Prof. Kleinfeld serves as a
strategic legal advisor to affluent families and closely held businesses
on sophisticated national and international income tax, estate tax,
investment and transaction planning, and asset protection planning
matters. He is a well-known lecturer at international conferences
and regularly writes articles on issues of importance in these cases.
Prof. Kleinfeld is best described as “lawyer, author and teacher.”
Prof. Kleinfeld is co-author of the two-volume Treatise Practical
International Tax Planning, published by Practicing Law Institute
and is on the Editorial Board of Estate Planning Magazine, published
by Research Institute of America. He is a Contributing Editor and
monthly columnist for Offshore Investment Magazine (UK), and a lecturer
at its annual “Post Graduate Seminar for Professionals” held at Jesus
College, Oxford University. His monograph on “Offshore Trusts” has
been published by the Florida Bar Association in Trust Administration
in Florida and he is the author of the booklet Four Principles of
Asset Protection Planning. Prof. Kleinfeld also holds the position
of Program Chair for th e annual Florida Bar Association Tax Section
Seminar on “Wealth Protection Planning” and is now an Associate Professor
of Law in the LLM International Tax Program at the Thomas Jefferson
School of Law in San Diego, California.
Coordinator for Immigration of High Net Wealth Individuals,
Families, and Highly Compensated Executives Sub-Specialization
Fred Ongcapin is an Adjudications Officer (Policy)
for the Policy and Regulation Management Division, Citizenship and
Immigration Services, U.S. Department of Homeland Security, Headquarters
Office, Washington D.C. He serves as an adjunct professor in courses
such as international taxation and business immigration as well as
international migration. His current position has authored and led
to the publishing of numerous national policy guidance memos and formal
regulations as to immigration law for the U.S. Department of Homeland
Security. He also provides regular statutory and policy guidance concerning
immigration policy for Citizenship and Immigration Services field
offices throughout the country due to his subject matter expertise
in immigration law. On several occasions, Fred has represented Citizenship
and Immigration Services before senior policy level liaison meetings
with the U.S. Department of State, U.S. Department of Justice, and
certain Congressional Committees on Immigration. Prior to his work
at Headquarters, he served as a Field Office Supervisor and Asylum
Officer for U.S. Department of Homeland Security, Citizenship and
Immigration Offices in San Diego and San Francisco, California. He
holds a Masters of Law degree from Thomas Jefferson School of Law
and a Juris Doctor from California Southern University School of Law,
and has done further graduate studies in international relations at
Rutgers University. His expertise is concentrated on Immigration Law
and Public Policy, International Financial Aspects of Business Immigration,
and Asylum-Refugee Law.
Coordinator, Brazilian Articulation Programs
Debora de Souza Correa is the International Tax
and Transfer Pricing Analyst of Temenos Banking Software Company.
She have been working as a tax consultant in Brazil for more than
five years, two of them at Deloitte - Brazil and three in Azevedo
Sette Attorneys of Law. Debora obtained her LL.M in International
Tax in 2009 from University of Florida, USA. She also has an MBA in
Finance from Ibmec, a post graduation in brazilian taxation from Pontificia
Universidade Catolica de MInas Gerais and obteined her law dregree
from Milton Campos College of Law, all in Brazil. Recently, Debora
updated the chapter about Brazilian Taxation in the Book: "Foreign
Tax and Trade Briefs" of LexisNexis. As a faculty member of the
Walter H. & Dorothy B. International Tax & Financial Services
Graduate Program of the Thomas Jefferson School of Law (San Diego),
Debora is the coordinator of the Brazilian articulation programs,
as well as lecturer in the field of transfer pricing.
US Tax oriented faculty
Coordinator for US Tax specialization
Robert Bloink Esq. started his career as a litigator for
the IRS. In his governmental capacity, Mr. Bloink became recognized
as an expert in the taxation of financial structured products. Mr.
Bloink’s core competencies led to his involvement in prosecuting some
of the biggest corporate tax shelters in the history or our country.
Since leaving government service, Mr. Bloink has long been in constant
demand as an advisor to America’s wealthiest families, private equity
groups, hedge funds, and banking institutions.
Prof. Larry C. Fedro Esq. is the Executive Director
of the St. Thomas University School of Law Tax Clinic where he has
been a Visiting Professor of Law for eight years. Prof. Fedro was
an attorney with the Internal Revenue Service for 37 years before
moving into private practice in 2001. While serving at the IRS, Mr.
Fedro worked in the following capacities: Estate Tax Attorney (1963-1975),
Estate Tax Attorney Manager (1975-1976), Appeals Officer (1976-1983),
Appeals Manager (1983-1985, 1988-2000), and Tax Shelter Program Coordinator
at the National Office (1985-1988).
Melissa Muhammad Esq. is a Competent Authority Analyst
for the Internal Revenue Service based out of Washington DC but travelling
globally representing the United States Revenue Authority and engaging
with other countries revenues on issues relating to double taxation
with tax treaties.
Prof. David Herzig Esq. has been involved in numerous
projects in the People’s Republic of China over the course of the
last three years. His focus has been on dealing with State Owned Enterprises.
His experience varies from the actual founding of companies to the
representation of individuals desiring to do business in China to
the actual representation of State Owned Enterprise within China.
David has worked primarily in the Automobile and Aviation sectors.
Most significantly, David co-founded, AutoChina Limited in 2004. AutoChina
has the exclusive world-wide distribution rights for the largest domestic
automobile manufacturer in China, China First Automotive Works (FAW)
through its wholly owned subsidiary, FAW-TAIEC. Currently, AutoChina
has entered into agreements with McCarthy Limited (JSE: BCT), a member
of the Bidvest Group and the largest automotive retailer in South
Africa for the distribution of its JADA line of vehicles. Moreover,
David’s companies have contracted in the transportation sector with
other major motor vehicle manufactures in China, including Brilliance
Automotive and Beijing Automobile Industry Corporation. David also
is serves on the Board of Directors of US company which owns and operates
domestic automobile franchises including Ford and Mercury brands.
Prior to devoting his efforts in the China sector, David was an attorney
at Greenberg Traurig. Greenberg is ranked number 8 in the National
Law Journal’s largest firm index. David serviced the role of in-house
counsel to his clients. He advised his clients on various planning
opportunities including, among other items, mergers and acquisition
structuring and financing, structuring of business entities, tax planning
(both domestic and international) and cross boarder transactions.
Mr. Herzig is a licensed attorney, and Asst. Prof. of Law at Valparaiso
University School of Law.
J. Richard Duke Esq. has four times been elected
by his peers to list of "Top 100 Attorneys" in the U.S.,
Worth magazine, December 2005, 2006, 2007 and 2008. He received his
Master of Laws in Taxation from the University of Miami School of
Law and received his Doctor of Jurisprudence from the Cumberland School
of Law of Samford University. He is an Adjunct Professor of Law, Walter
H. Diamond and Dorothy B. Diamond Graduate Law Program in International
Tax and Financial Services, Thomas Jefferson School of Law (formerly
teaching at the Diamond & Diamond Program at St. Thomas University
School of Law, International Taxation (LL.M.) Program, Miami, Florida
(2000-2007)); Professor of Law at Aristotle University College of
Law, Carlsbad, California; and Adjunct Professor of Law at the Cumberland
School of Law of Samford University (International Tax and Asset Protection
Planning) (1983-1999). Member and Distinguished Fellow of The Royal
Society of Fellows (RSOF); Member: International Tax Planning Association;
Society of Trust and Estate Practitioners (STEP); International Bar
Association (Section on Business Law; Committee on Taxes); Inter-American
Bar Association; Tax Section of the American Bar Association; Real
Property, Probate & Trust Law Section of the American Bar Association
(Committee on Asset Protection Planning); International Law and Practice
Section of the American Bar Association (Committees on International
Taxation and International Property, Estate & Trust Law, International
Private Client Group); The Florida Bar (Real Property, Probate &
Trust Law Section, Tax Section, and International Law Section); Alabama
State Bar (Tax Section). Co-author updating the six-volume set of
books titled International Trust Laws and Analysis, Kluwer Law International;
Author: Chapters, Tax Compliance and Reporting For Offshore Trusts
and Uses of Foreign Life Insurance in International Estate Planning,
Asset Protection Strategies: Planning with Domestic and Offshore Entities
(The American Bar Association); contributing editor to Offshore Investment
magazine, authoring the monthly feature "Dubai Digest";
Use of Trusts by U. S. Citizens in International Tax Planning, Trusts
in Prime Jurisdictions, Kluwer Law International; and co-author of
Controlled Foreign Corporation Guide; author of the U.S. chapter for
Global E-Business Law and Taxation (in the process of being published
by Oxford University Press); co-author Legal Ways to Save Taxes, Offshore
Tax Strategies, and Offshore Tax Boot Camp Manual, Second Edition,
Research Press, Inc. (Prairie Village, Kansas); and co-author of U.S.
Tax Reporting Guide for Foreign Trusts, which is being published by
Research Press, Inc. (Prairie Village, Kansas).
Michael J. Rinaldi II is senior partner at Michael
Rinaldi & Co. LLP in Washington, DC where he represents US and
foreign institutions and families in a broad range of cross-border
transactions including international trusts, holding company structures,
domestic and offshore limited partnerships and corporations. Well
versed in working within multi-disciplinary, international teams,
his expertise ranges from tax advice for family offices in structuring
operations abroad in Europe and Asia, to taxation of high-net worth
individuals, and tax audits and litigation. He has provided expert
testimony in the US District Court and US Court of Claims. Additionally,
he has provided tax advice in determining federal and state tax liability
in criminal investigations and plea agreements with the US Department
of Justice in high profile tax evasion and money laundering cases.
Mr. Rinaldi specializes in providing tax advice for efficient cross-border
financial structures and optimized financial instruments for investment
in real estate. He advises European investment banks and private equity
real estate opportunity funds with regard to formation, acquisitions,
dispositions and development of significant properties and portfolios,
both in the United States and in cross-border transactions, utilizing
tax treaty networks. Most recently having structured the acquisition
of an European automobile manufacturing company. Mr. Rinaldi is also
licensed as a certified public accountant in the District of Columbia
and is a member of The American Bar Association, Tax Section- Partnership
and US Activities of Foreigners & Tax Treaties Committees; International
Tax Planning Association; and Society of Trust and Estate Practitioners
(TEP). He holds degrees in accounting and tax law (both US and international)
having graduated from the University of Maryland; University of Baltimore
and St. Thomas University School of Law. Professor Rinaldi is also
a contributing author on company law in the treatise “International
Trusts Laws and Analysis” Kluwer Law Int’l.
Denis Kleinfeld Esq. (see bio above)
Marshall Langer Esq. (see bio above)
Stephen Gray Esq. (see bio above)
Beckett Cantley Esq. (see bio above)
Coordinator for Tax Software & Compliance Systems
Dr. George L. Salis Esq. is currently Principal Income Tax
Analyst (International) at Vertex, Inc., which is one of the largest
international tax software companies in the world. He is also Adjunct
Professor of Economics at Webster University's MBA program, in Florida.
Prior to his position at Vertex, he was engaged as international tax
and economic advisor and consultant to various firms such as the St.
Abbeys Group, (UK), The Quantum Group, LLC, JurisConsults International
Group, LLC, The Scottish Rite Foundation, Inc., to name a few. From
1996 - 2005, he served as the Program Director for the Legal Studies
Department at Keiser University, having designed and revised the Department's
curricula several times during his tenure. He also served as Dean
of academic Affairs of the Lakeland Campus of Keiser University from
1999 until 2002. He has taught Economics, Law, Business and International
Trade related courses at several colleges in the US and abroad at
the graduate and undergraduate level, and he is frequently a guest
lecturer at various colleges and universities in the US, UK, and Europe.
He is the author of two books on international law and policy, as
well as numerous articles related to international economic law, taxation,
global investments, trade, and compliance for various professional
journals and trade magazines. A frequent speaker in the international
conference circuit in the areas of international trade, tax and economic
law, Dr. Salis was the recipient of the Excellence in Teaching Award
twice at Franklin Pierce College, in New Hampshire, with other nominations
later at New England College, Rollins College, and at Keiser University,
Florida. He is a Distinguished Fellow in the Royal Society of Fellows,
an international society of lawyers, bankers, and investment, compliance
and tax professionals from around the globe and a Distinguished Fellow
of the American Academy of Financial Management (AAFM), where he is
a member of its Board of Standards. From 2003- 2005, he also served
as Director of the Global Wealth Commission for the AAFM. Dr. Salis
earned his Ph.D. in International & Comparative Law & Economic
Policy, from The Union Institute & University, a Master of Laws
in International Taxation from St. Thomas University School of Law,
in Miami and a Post- Graduate Diploma in European & International
Tax Law, from Robert Kennedy College's Graduate School of Law, in
Zurich, Switzerland. He received his law degree with Honours, from
the Honours Law programme at the University of Wolverhampton Law School
in England, the Specialist Diploma in European Union Law from Holborn
College London and Oxford University (UODLE). In 1988, he obtained
a Master of Arts in Legal and Ethical Studies, from The University
of Baltimore. He earned Bachelors degrees in Economics and Political
Science (dual major) with Honors, from The University of the State
of New York, Albany, and another in Philosophy and Humanities from
Barry University, in Miami Shores. He is active in the International
Bar Association, the American Bar Association, the London Court of
International Arbitration, and the American Society of International
Law, among other international organizations.
E-commerce oriented faculty
Coordinator for E-Commerce Specialization
Ana Penn is the Executive Director of the European
Operations, based in Barcelona Spain, of International Business Law
Services, (IBLS), www.IBLS.com which is headquartered in Irvine, California.
Designed to help business and legal professionals understand Internet
laws and regulations. IBLS provides worldwide interactive source of
information and counsel for legal issues relating to the Internet.
Ms. Penn coordinates and directs IBLS’ legal and management teams,
consisting of law professors, attorneys, finance, marketing and IT
professionals. In addition, Ms. Penn is teaching law courses at St.
Thomas University, School of Law, Miami, Florida, and Nova Southeastern
University, Wayne Huizenga Graduate School of Business and entrepreneurship,
Ft. Lauderdale, Florida. Professor Penn has a master of law in International
Banking and Financial law from Boston University, School of Law, Boston,
Massachusetts; a master of law in Taxation from Golden Gate University,
School of Law, California and a Juris Doctor degree from Western State
University, College of Law, California. She also studied European
Community law at Cambridge University, Gonville and Caius College,
Cambridge, England. She frequently lectures at European Schools and
conferences throughout the United States.
Dr. Claudia Gramaccia was a specialized researcher
for the following countries areas: Belgium, The Netherlands and Luxembourg
in the Project VAT Rates Harmonization in the EU realized by the EU
Commission; and DG XXI and University of Bolongna, “Instituto Giuridico
Antonio Cicu”, Italy. She has served as research fellow and research
project co-ordinator for several studies and Institutions. She has
been a Professor at the American University of Rome, Italy, in the
area of International Taxation and E-commerce Taxation. She was Assistant
Professor of Tax Law at the University of Perugia, Italy, Faculty
of Economics. She completed an internship at the International Bureau
of Fiscal Documentation, Amsterdam, The Netherlands. Dr. Gramaccia
holds a Ph.D. in European and International Tax Law at the Katholieke
Universiteit Leuven, Belgium; a degree on Economics from the University
of Perugia, graduating Summa Cum Laude; and her Degree in Accounting
from F.Scarpellini Foligno, Italy.
George Summerfield Esq. is a practicing attorney
at Stadheim & Grear, Chicago, Illinois since 2000. He is responsible
for all phases of intellectual property licensing, litigation and
appeals to the United States Court of Appeals for the Federal Circuit.
From 1998 to 2000 he worked as Intellectual Property attorney at Hill
& Simpson PC, Chicago, Illinois. From 1996 to 1998, he worked
as Intellectual Property attorney for Rader, Fishman & Grauer,
Chicago, Illinois. He worked for the Intellectual Property Department
of Pennie & Edmonds, Washington, D.C., from 1991 to 1996. He completed
a Fulbright fellowship at the Office For Inventions and Trademarks,
Bucharest, Rumania. He was an investigative attorney at the U.S. International
Trade Commission from 1988 to 1990. From 1987 to 1988, he worked as
Intellectual Property attorney for Varnum, Riddering, Schmidt &
Howlett. Prof. Summerfield obtained his J.D. from Wayne State University
Law School and is member of the following Bar Associations, U.S. Supreme
Court; U.S. Courts of Appeal for the Federal and Seventh Circuits;
U.S. District Courts for the Northern District of California, the
Eastern and Western Districts of Michigan, the District of Connecticut,
the District of Arizona, the Northern District of Illinois, and the
Northern District of Texas; the United States Court of Federal Claims;
and the State of Michigan; American Bar Association; American Intellectual
Property Law Association; International Federation of Intellectual
Property Law Counselors (FICPI).
Legal Research & Writing oriented faculty
Coordinator for Legal Research & Writing
Prof. Gordon Russell, Esq. prior to being a founding Associate
Dean at Lincoln Memorial University School of Law was the founding
Associate Dean at Charleston School of Law in 2004, and before that
he directed St. Thomas University's law library and served as an associate
professor of law. He taught first-year legal research and writing,
advanced electronic research for upper classes and computer assisted
legal research as well as taught an online distance education class
in the International Tax LL.M. program. Mr. Russell was a member of
a panel presentation "Embracing Virtual Technologies: A Library
Experience with Virtual Reference and Artificial Intelligence"
at the November 17th 2003, VRD 2003 Digital Reference Conference in
San Antonio, Texas and spoke on "The Future of the Law Library"
at the SEALS Conference - Friday, July 25, 2003, Ritz-Carleton, Amelia
Island, Florida.
He was a panelist on "The Librarians Role in Space Planning -
Fast Forward," at the ABA Section of Legal Education and Admissions
to the Bar, Law School Facilities Committee, Bricks, Bytes and Continuous
Renovations Conference, March 20, 2003, Suffolk University Law School,
Boston, Massachusetts and spoke at the July 2001 Association of Law
Libraries Conference on "David In, Goliath Out? Do We Need Larger
Libraries to Accommodate More Books?"; he presented "Redefining
Academic Legal Reference - Meeting the Challenge of Distributed Users"
at the 2nd International Conference on Technology in Teaching and
Learning in Higher Education, June 2001 in Samos, Greece and presented
"Re-engineering the Law Library as a Virtual Reference Support
Center," ICTE April 2000 Conference in Potchefstroom, South Africa.
He published Reengineering the Law Library Resources Today For Tomorrow's
Users: A Response to 'How Much of Your Print Collection Is Really
on WESTLAW and LEXIS-NEXIS?' 21(2/3) Legal Reference Services Quarterly
29, 2002 and co-edited Law Library Collection Development in the Digital
Age. Haworth Press, Inc. 2002. He is a member of the American Association
of Law Libraries, the American Association of Law Schools, and the
Canadian Association of Law Libraries. Mr. Russell received his B.A.
degree from Brigham Young University, M.L.S. from Brigham Young University,
LL.B. from University of Western Ontario and J.D. degree from the
University of New Mexico.
Gordon Russell Esq. (see bio above)
Dr. Robert J. Munro Esq. (see bio above)
Kim Bloink Esq. (bio forthcoming)
Bankruptcy oriented faculty
Richard Stephenson Esq. (see his bio above).
Richard Frimmer Esq. J.D. Harvard Law School, over
30 years of experience in turnarounds and bankruptcy, head of the
Corporate Group at Luce, Forward, Hamilton & Scripps, San Diego.
Grant W. Newton, CMA, CPA, Ph.D.: Professor of Accounting
at Pepperdine University, author of Bankruptcy and Insolvency Accounting:
Practice and Procedure, 6th edition and co-author of Bankruptcy and
Insolvency Taxation, 2nd edition; Executive Director of the Association
of Insolvency and Restructuring Advisors; Member, AICPA Task Force
on Financial Reporting by Entities in Reorganization Under the Bankruptcy
Code.
Prof. Harry Aschbacher Esq. Law faculty, University
of Geneva (Switzerland), Law degree, University of Geneva; LL.M. in
International Economic Law, Catholic University of Peru, Head of Legal
for Trade Finance, Banque Cantonale Vaudoise (BCV), global responsibility
for workouts and restructuring.
William Smelko Esq.: J.D. University of Michigan,
over 27 years of experience as a consumer bankruptcy attorney.
In Memoriam for Faculty that Created the Program Materials and
/ or Curriculum
Dr. Klaus Vogel, deceased, was, since its inception, a critical advisor
to the program for its tax treaty and its international tax research
related courses, and to Prof. Byrnes. His work on international tax
law started in the mid-1960s and gained momentum in 1977 when he moved
to Munich University to set up a research center for international
taxation, including a world-class library in international tax literature.
Here he focused on his masterpiece, an academic commentary on the
OECD model treaty, based on comparative and international tax research,
providing in-depth analysis for a worldwide readership. The first
edition of the German version was published in 1983; the fifth edition,
which was still largely overseen by himself, will be on the market
in early 2008. Dr. Vogel held prominent positions both in his home
state and in international tax institutions around the world. He was
a member of IFA's Permanent Scientific Committee from 1974 to 1990
and wrote two General Reports for its Annual Congresses (1984 and
1993). He was a member of the OECD Advisory Group on the Model Tax
Conventions and an IBFD consultant on tax treaty projects as well
as a member of the Academia Brasileira de Direito Tributario. He founded
the annual Munich Tax Conference (Münchner Steuerfachtagung) and presided
over the German Association of Constitutional Lawyers (Vereinigung
der Staatsrechtslehrer) when German reunification provided the academic
world with one of its strongest challenges.
Prof. Arnold Rosenberg, Assistant Dean of Thomas
Jefferson, is the Chairman of the California Bar Association Consumer
Financial Services committee. While at Harvard he won the West Publishing
Company Hornbook Award for Outstanding Scholastic Achievement. After
12 years at the San Francisco law firm of Bancroft, Avery & McAlister,
during which he served as chair of its Litigation Group, in 1997 Dean
Rosenberg became General Counsel of California Pacific Bank and formed
his own firm in San Francisco focused on commercial transactions,
bank regulation, commercial litigation and the technology industry.
He taught banking law and commercial transactions as an adjunct professor
at Golden Gate University School of Law for two years before joining
full time academia at Thomas Jefferson in 2002. He began his career
in 1976 as a civil rights, consumer protection and labor lawyer in
Chicago and spent two years at AT&T in New York. His numerous
publications include: Classification of Foreign Filing Systems, in
S. Sepinuck, ed., Practice Under Revised Article 9 (American Bar Association,
forthcoming); Motivational Law, 56 Clev. St. L. Rev. 111 (2008); Regulation
of Unfair Bank Fees in the United States and the European Union: Current
Trends and a Proposal for Reform, in Evolving Legislation on Consumer
Credit and Trade Practices, APS Occasional Papers 7 (2007) (Proceedings
of 2006 Malta Conference of the International Association of Consumer
Law on Consumer Protection Law in the European Union); Contributor
to Benjamin Geva, The Law Of Electronic Funds Transfers (Newark: Matthew
Bender & Co., 2006-2007 edition) (updated chapters on ACH transfers
and Regulation E); Where to File Against Non-U.S. Debtors: Applying
U.C.C. §9-307(c) [Rev.] to Foreign Filing, Recording and Registration
Systems, 39 U.C.C. L. J. 109 (Nov. 2006) ; Better Than Cash? Global
Proliferation of Debit and Prepaid Cards and Consumer Protection Policy,
44 Colum J. Transnational (Fall 2006); The 2003 Revision of Article
7, UCC: Bringing Documents of Title into the 21st Century, 4 State
Bar of California Business Law News 21 (2004); The Last Supper of
Jesus and the Anti-Havurah Meal, 11 Mehqerei Hag (Israel) 17 (1999)
and Jewish Liturgy as a Spiritual System (New York and London: Jason
Aronson, 1997).
Wealth and Investment Management oriented faculty Coordinator
for Wealth and Investment Management Specialization, Professional
Designations
Dr. George Mentz, is a licensed attorney and holds
an MBA in tax and financial services. Formerly, Mentz was a Senior
Wealth Manager at a major Wall Street Firm. Prof. Mentz is the author
of 20 books and has been featured or quoted in the Wall Street Journal,
The Hindu National, El Norte Latin America, Reuters, the Financial
Times, The China Daily, & The Arab Times. Dr. Mentz has taught
over 150 graduate and undergraduate, law and business courses, has
won several awards for teaching, and has earned various financial
licenses, registrations and certifications. Prof. Mentz has established
financial standards centers in over 12 Countries around the world
including Hong Kong, Cairo, Latin America, Beijing, Singapore, USA,
Bahamas, EU, India, Africa, Asia, and The Bahamas. Prof. Mentz presently
serves on the Advisory Board of the Indian Institute of Financial
Managment, The China Wealth Management Council, the Arab Academy of
Financial and Banking Sciences, and the LatinoAmericano Capitulo for
Finance Executives, and has served on the Global Finance Forum in
Switzerland. His books addressing law, tax, management, operations,
and compliance, include Wealth Management – A Treatise and Guide for
the Wealthy, Investment Management Strategy and Policy, Trust and
Estates Management and Regulation, Fundamentals of US Economics and
Markets Basics on Investing, Financial Markets and Financial Planning,
Project Management – Executive Summary for the Financial Industry,
Anti Money Laundering Laws and Regulation, and Financial Planning
Treatise Fundamentals.
*List as Approved By Dean. Byrnes. AAFM has legal agreement with
Diamond LLM Law Program and TJSL to promote the program. All Names
listed herein are Distinguished Professors (Hons) also recognized
by the American Academy.
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