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Basics of Accounting for Lawyers 2012: What Every Practicing Lawyer Needs to Know

Speaker(s): Alexander M. Vasilescu, Colleen S. Vallen, Glenn Newman, John J. Carney, John J. Molenda, Ph.D., Jorge A. Amador, Karen Kincaid Balmer, Kenneth G. Yormark, Matthew B. Greenblatt, Pamela D. Wickes, T.C. Fleming, Tracy Richelle High
Recorded on: May. 14, 2012
PLI Program #: 35428



  • Master of Business Administration Economics/Finance, West Chester University (1992)
  • B.S. in Accounting, Pennsylvania State University (1980)
  • Certified Public Accountant in Pennsylvania (CPA)
  • Certified Fraud Examiner (CFE)
  • Accredited in Business Valuation (ABV)
  • Certified Financial Forensics (CFF)


ParenteBeard LLC -- Practice Leader, Forensic, Litigation and Valuation Services, Partner (1993 --)

Provides a variety of financial consulting and accounting services to attorneys, insurance companies, governmental agencies and public and private corporations since 1980. Prior to joining ParenteBeard in 1993, he spent approximately nine years with a national accounting firm. He specializes in providing financial consulting analyses related to matters in dispute. Specifically, the majority of the analyses performed involve litigation and/or insurance claims matters. Mr. Newman is the Practice Leader of the firm's Forensic and Litigation Services group. In addition to his management role, his current responsibilities include assignment planning, supervision of staff, assistance with interrogatories and expert witness testimony, as required. Responsibilities are carried out through financial and forensic analysis of: financial statements and tax returns; general ledgers and other original books of entry; relevant contracts and agreements; and industry data.

Curtis Consulting Group, Ltd. -- Founder and Director of Technical Services (1990 - 1993)
Laventhol & Horwath -- Manager, Litigation and Insurance Consulting Dept. (1981 - 1990)

Kenneth G. Yormark is a managing director for K2 Intelligence, where he leads the U.S.-based forensic accounting team. With more than 25 years of experience, he is an expert in complex global investigations and forensic and investigative services. Ken manages and conducts high-profile securities fraud, anti-corruption/Foreign Corrupt Practices Act (FCPA), and Ponzi scheme investigations involving public and private companies in all industries around the globe. He presents to regulatory and law enforcement agencies, boards, senior management, in-house and outside counsel, and auditors.

Working with clients in the financial services, manufacturing, real estate, pharmaceutical, telecommunications, and not-for-profit industries, Ken focuses on formulating and executing strategies regarding forensic accounting, financial investigations, securities litigation, and anti-corruption risk assessments. He is accomplished at assessing the vulnerability and reconstructing internal controls, compliance procedures, and accounting systems. He regularly works side by side with law firms investigating allegations of corruption and bribery, corporate malfeasance, and “cooking the books.” He has been qualified as an expert and testified in deposition and at trial in federal and bankruptcy courts.

Ken is an adjunct professor at Georgetown University Law Center, where he teaches “Accounting for Lawyers.” He is also a faculty member of the Practicing Law Institute and an adjunct faculty member of the Association of Certified Fraud Examiners (ACFE). He speaks nationally on fraud and anti-corruption at conferences and corporate events.

Ken received his B.S. from Queens College and completed graduate studies at New York University in real estate development analysis. He is a Certified Public Accountant (CPA), a Certified Fraud Examiner (CFE), is Certified in Financial Forensics (CFF), and is a Certified Anti-Money Laundering Specialist (CAMS).

Alexander M. Vasilescu is the Regional Trial Counsel for the New York Regional Office of U.S. Securities and Exchange Commission, Division of Enforcement, located in New York City.  In that position, Alex oversees New York's Trial Unit, which consists of Alex, 13 Senior Trial Counsel, and 2 trial unit paralegals. Alex has led investigations and litigations involving violations of a wide range of securities laws. Most recently, Alex was part of the team that brought the cases against the Town of Ramapo and various town officials and the Town of Oyster Bay and various town officials involving municipal securities fraud and Billy Walters and Tom Davis involving insider trading.  Alex also brought the emergency case against Bernard Madoff and various enforcement cases against several employees of Madoff and the auditor for his firm.  Alex also won jury trials in both the Southern District and Eastern District involving insider trading and offering frauds as well as a federal court bench trial involving market manipulation and administrative hearings, including deceptive market-timing and late trading violations. Prior to joining the SEC, Alex was a litigation associate at the law firms of Paul, Weiss, Rifkind, Wharton & Garrison and Kramer, Levin, Naftalis & Frankel LLP. Alex received a B.A., cum laude, in Economics and International Relations from Tufts University, and J.D. from Cornell Law School.

John Molenda is co-chair of Steptoe's Life Sciences Practice, is head of the Intellectual Property Practice for the New York office, and has served on the Firm's Executive Committee. He focuses on patent litigation at the district court and appellate levels, opinions of counsel, due diligence, and inter partes reviews (IPRs). He represents clients across a wide range of technologies, including small molecule pharmaceuticals (Hatch-Waxman), biotherapeutics (biologics), biochemical research tools, genetically modified plants, medical devices, semiconductors, fiber optics, and computer software. 

John has developed a particular expertise in life sciences litigation and post-grant proceedings. He was named a 2019 Life Sciences MVP by Law360, and in 2020 was recognized by IAM Patent 1000 as an "extremely smart and meticulous" litigator who has created a "strong [brand] on both the small and large molecule sides." John has served as lead counsel in numerous high-value Hatch-Waxman litigations, including those involving treatments for renal cell carcinoma, mantle cell lymphoma, blood clotting disorders, and opioid addiction. With respect to biologics litigation, John led Steptoe's team in litigating groundbreaking antibody therapies used to treat high cholesterol. He has also coordinated pre-litigation strategy for a global biosimilars program involving a diverse portfolio of monoclonal antibody and cytokine products. At the same time, John routinely counsels clients on the strategic use of IPRs as part of litigation and settlement strategy, and has served as lead counsel in numerous life sciences-related IPRs.

John also maintains an active appellate practice and litigates regularly in the US Court of Appeals for the Federal Circuit. He has held substantial roles in 25 Federal Circuit appeals, including arguing one of the first pharmaceutical-related IPR appeals. John is active in the Federal Circuit community, currently serving as a Vice Chair of the FCBA's Bench & Bar Planning Committee. Prior to private practice, he served as a Federal Circuit law clerk for the Honorable Alan D. Lourie.

Pam Wickes is a Certified Public Accountant (CPA) and a Certified Fraud Examiner (CFE), and is Certified in Financial Forensics (CFF) and Accredited in Business Valuation (ABV). She has over 16 years of diversified experience in the areas of private and public accounting, fraud investigations, forensic accounting, internal control assessments, asset tracing, economic damages, family law, business valuations, and other litigation support services.  She provides consulting and expert witness services to assist attorneys and clients prior to and throughout lawsuits, as well as during settlement negotiations.

Pam's forensic accounting and litigation support services have included fraud risk assessments; internal control consulting; economic damages for loss of profits and/or earnings claims related to fraud, breach of contract or fiduciary duties; owner's construction contract audit; construction disputes; operational assessments; forensic investigations of factors leading to insolvency; cost/benefit, profitability, and efficiency analysis for programs or business units; forensic analysis for post acquisition disputes and earn out payments; forensic analysis of financial documents; fraud examinations for fidelity and crime insurance claims and prosecution; data reconstruction and analysis; forensic investigation of nominal and beneficial ownership, investments in, entitlements to, and control of assets; lifestyle analysis for matrimonial matters; tracing of assets and financial transactions; witness interviews; and investigations of alleged unreported income, structured deposits, corporate financial statement fraud, employee theft and dishonesty; and other financial issues and investigations. 

Pam graduated with a Bachelor of Science degree in Accounting from The State University of New York at Oswego. In addition, Pam graduated from the Federal Bureau of Investigation Citizens Academy.

Pam has presented continuing education and other seminars to a variety of audiences. The topics of her lectures and articles include accounting, financial statements, business valuation, collusion, employee embezzlement and fraud prevention and detection.

Pam is currently the Secretary of the Albany Area Chapter of the Association of Certified Fraud Examiners. She is also currently a member of the American Institute of CPAs, the New York State Society of CPAs, the Association of Certified Fraud Examiners and the Capital District Women's Bar Association, a chapter of the Women's Bar Association of the State of New York. 

T.C. Fleming is the Chief Financial Officer at 1010data, Inc., a fast-growing New York-based software-as-a-service company specializing in big data analytics. He has over 20 years of industry and corporate finance experience.

T.C.’s current role involves the oversight of financial accounting and reporting, taxation, budgeting and expense control, human resources, procurement, recruiting, office management and participation on the company’s management committee.

His experience spans numerous industries including technology, broker/dealers, depository institutions, energy (specifically independent power producers), manufacturing & distribution, environmental services, transportation, specialty finance, publishing and consumer retail.

Prior to joining 1010data, Inc., T.C. served as a senior advisor to the U.S. Bankruptcy Court appointed Examiner on certain financial issues arising from the Lehman Brothers’ bankruptcy. T.C. managed multiple teams of forensic accountants, systems analysts and financial analysts.

Previously, T.C. was a Senior Equity Analyst with an alternative investment fund focused on small- to mid-cap investments. Prior to that, T.C. spent 9 years working at Deloitte in the Special Transaction Services group serving the Texas Pacific Group. He was also a manager in the firm’s audit practices in Chicago, San Francisco, and London, where his clients included SEC registrants as well as privately held corporations in the Financial Institutions industry group.

T.C. regularly lectures on accounting and financial due diligence topics. In addition, T.C. has authored/co-authored articles published in The Daily Deal and Seeking Alpha.

T.C. received his M.B.A. in finance from New York University’s Stern School of Business and his BBA in accounting and computer applications (double major) from the University of Notre Dame. He is a certified public accountant licensed in the state of Illinois.

Colleen is a partner in the firm’s Valuation and Forensic Services practice and is based in the Philadelphia office. As an expert in the field of forensic and investigative accounting, Colleen has focused her attention on forensic and fraud investigations, the preparation of financial damage analysis and litigation support.

Colleen is highly experienced in the analysis, investigation and review of financial documents. Other responsibilities have included case planning and management, financial and economic analysis, expert report preparation, oral presentation of findings as well as assistance with discovery, interrogatories and depositions.

Prior to joining the firm she worked for a litigation consulting and a forensic accounting firm and with a Big 4 accounting firm as an auditor.

Colleen is an adjunct professor at Villanova Law School. She has been engaged by law firms, legal, banking and utility associations, insurance companies, and other associations to speak on a variety of topics, including business interruption, financial document analysis and fraud. Colleen has also provided continuing education to attorneys and individuals through various seminars, including a full day class on fraud geared to the banking industry.

Colleen earned a Bachelor of Science degree in Accounting from Rutgers University. Her education has been supplemented by various continuing education courses with an emphasis on fraud investigation, forensic accounting, financial analysis and business interruption. She is a member of the American Institute of Certified Public Accountants (AICPA) and the Pennsylvania Institute of Certified Public Accountants (PICPA).

Tracy’s practice focuses on representing financial institutions and other corporations in complex civil litigation, arbitration and mediation proceedings, corporate internal investigations, and labor and employment matters.

She has also represented clients before a wide variety of regulatory and prosecutorial agencies, both at the state
and federal levels, as well as congressional committees and independent examiners appointed by court order.

Tracy is co-chair of the Firm’s Diversity Committee, co-chair of the Women’s Initiative Committee and a hiring partner. She also oversees the Firm’s active networks for minority associates: the Asian Associates Network, the Network of Black and Latino Lawyers and the LGBT Network. She is co-chairwoman of the YWCA-NYC, a vice-chairwoman of the Legal Aid Society, and a member of the board of directors of Lawyers’ Committee for Civil Rights Under Law, New York City Bar Justice Center and Partnership for After School Education. She is a member of the Association of Black Women Attorneys and Metropolitan Black Bar Association.

Jorge A. Amador is a Director at Axia Advisors, LLC, a San Francisco based litigation consulting firm.  Jorge has extensive experience providing litigation support as both a testifying expert and consultant in matters related to accounting malpractice, mergers and acquisitions, white-collar crime, and business disputes involving valuation issues and piercing of the corporate veil.  Previously he served as the Director of Forensic Accounting of one of the nation’s largest securities litigation firms, where he led a group of accounting professionals that investigated private securities lawsuits involving complex financial issues.  He has participated in the litigation of highly complex accounting scandals involving some of America's largest corporations including Enron, Tyco, Lehman Brothers, Countrywide, and Waste Management.

Previously, Jorge was a practicing CPA where he directed audits of public companies and closely-held businesses, ranging from financial services to construction companies. 

Jorge regularly lectures on a variety of accounting and legal topics.  He has also taught both undergraduate and graduate level courses in Financial Accounting, Financial Statement Analysis, Forensic Accounting, and Business Law. 

He is currently a member of the California State Bar and is admitted in the Northern District of California, and is a current member of the American Institute of Certified Public Accountants (AICPA).  He graduated with a B.S. in Business Administration (Accounting) from Norwich University, in Northfield, Vermont and earned his J.D. from Concord School of Law in Los Angeles, California.  He is also fluent in Spanish.

Jorge can be reached at

Matthew Greenblatt  is a Senior Managing Director at FTI Consulting and is based in New York. Mr. Greenblatt has extensive experience in forensic accounting and internal investigations; auditing and accounting matters; litigation consulting; post- acquisition and shareholder disputes; and advising troubled companies.

Mr. Greenblatt has conducted multiple forensic investigations in connection with cases involving diversions of funds and fraudulent accounting activity by management and has been involved in several internal forensic investigations conducted on behalf of Audit Committees and/or Boards of Directors for both public and private companies. Mr. Greenblatt is currently managing a team of professionals and forensic accountants in connection with the firm’s retention by the court-appointed trustee under SIPA in the liquidation of Bernard L. Madoff Investment Securities.

Mr. Greenblatt has advised on cases involving various types of fraudulent activity, including several large Ponzi schemes; partnership disputes; lost profits; breach of contract claims; and accountants’ malpractice. Mr. Greenblatt has additional expertise with matters involving arbitration and mediation; bankruptcy reorganization; claims management; contract disputes; damages; directors & officers related claims; due diligence; expert testimony; forensic investigations; fraud and fraudulent conveyance; solvency and insolvency; trustee and examiner issues, and valuation.

Mr. Greenblatt has spoken on multiple panels in the area of forensic accounting and investigations and is an adjunct professor, teaching the course “Prevention and Detection of Fraudulent Financial Reporting”, a required course within the Forensic Accounting Program of New York University’s Finance, Law and Taxation Program of NYU’s School of Continuing Studies.

Prior to its acquisition by FTI Consulting, Mr. Greenblatt joined Kahn Consulting in June of 1998. Before that, Mr. Greenblatt was a Senior Auditor with Price Waterhouse’s Audit and Business Advisory Services Group.

Mr. Greenblatt holds a B.S. in accounting from Lehigh University. Mr. Greenblatt is a Certified Public Accountant and a Certified Fraud Examiner, and is Certified in Financial Forensics. Mr. Greenblatt is a member of the American Institute of Certified Public Accountants; the New York State Society of Certified Public Accountants; and the Association of Certified Fraud Examiners.

A former Securities Fraud Chief, Assistant United States Attorney, U.S. Securities and Exchange Commission Senior Counsel, and practicing CPA, John Carney is a seasoned advocate who represents regulated entities and public corporations—their officers, directors and employees—in SEC and criminal law enforcement investigations, as well as in related civil litigation. Utilizing his depth of experience in domestic and international regulatory and criminal enforcement matters and complex litigation, as well as his financial background, John is repeatedly retained by audit committees, corporations, and senior officers of major public companies to conduct internal investigations, to provide counsel during investigations, and to design remedial compliance and corporate governance measures. He regularly conducts investigations of possible FCPA violations and other potentially improper foreign country-based financial transactions, and works proactively with companies to structure and implement FCPA compliance programs.

Based upon his extensive trial experience and sophisticated advocacy in complex financial matters, John was recently nominated and named to the Securities Docket "Enforcement 40," a list of the 40 top securities enforcement defense lawyers in the country. He is ranked in Chambers USA: America's Leading Lawyers for Business and is also "Certified in Financial Forensics" by the American Institute of Certified Public Accountants. He is co-leader of BakerHostetler's national White Collar Defense and Corporate Investigations practice. John has lectured extensively at conferences and training seminars on topics such as FCPA, insider trading, securities fraud, and litigating complex accounting cases.

As a Certified Public Accountant, holder of the AICPA's Certified in Financial Forensics accreditation, a Certified Fraud Examiner and a Certified Forensic Accountant, Karen's areas of expertise include litigation services, generally accepted accounting standards, auditing standards compliance, fraud investigations, evaluation and implementation of internal controls, generally accepted accounting standards and international accounting standards. Karen has performed investigative and FCPA compliance work for more than twenty five years in numerous countries around the world.