Ruti Smithline es copresidenta del grupo de Investigaciones + Defensa Criminal de Cuello Blanco de la firma y copresidenta del Latin America Desk de la firma. Su práctica se centra en litigios complejos, con énfasis en defensa criminal de cuello blanco, cumplimiento de la Comisión de Bolsa y Valores de EE. UU. (SEC), litigios de valores e investigaciones internas corporativas. Ruti es miembro del equipo de trabajo FCPA (Foreign Corrupt Practices Act) + Anticorrupción de la firma. Regularmente asesora a clientes en investigaciones transfronterizas, programas de cumplimiento global y diligencia debida anticorrupción para adquisiciones, empresas conjuntas (joint ventures) y transacciones de capital privado (private equity). Ruti ha representado a individuos y corporaciones acusadas en investigaciones penales transfronterizas, asuntos de cumplimiento de la SEC y otros procedimientos regulatorios, incluyendo asuntos relacionados con sanciones comerciales y contra el lavado de dinero. Tiene experiencia llevando a cabo investigaciones corporativas internas tanto a nivel nacional como internacional, con frecuencia asesorando a clientes sobre medidas correctivas que responden a los problemas investigados.
Ruti nació y se crió en Colombia y habla español con fluidez. Ha llevado a cabo investigaciones, seminarios y capacitación anticorrupción en español en América Central y del Sur.
Ruti fue nombrada recientemente en la encuesta "Investigaciones de mujeres" de Global Investigations Review en 2018, que reconoce a las 100 mujeres principales especialistas en investigaciones de todo el mundo. También fue seleccionada recientemente por LatinVex como una de las "100 mejores abogadas de América Latina: FCPA y fraude" para 2018. También fue reconocida anteriormente por Ethisphere Institute como una de las "Abogados que importan" en 2016 y por Global Investigations Review como una de 40 de los principales abogados de investigaciones del mundo con menos de 40 años. Además, Ruti fue seleccionada para la lista de estrellas en ascenso del metro de Nueva York en 2014 y 2015 por Super Lawyers con base en el reconocimiento de pares y el logro profesional.
Ruti recibió su J.D. de la Facultad de Derecho de la Universidad George Washington, donde se graduó con honores y como miembro de la Orden de la Cofia. Ella recibió su título de B.A. cum laude, de la Universidad de Cornell. Está admitida para practicar leyes en Nueva York y Nueva Jersey.
Monitorship Team for a Large South American Company
Working as key team member for the independent compliance monitor as appointed by the DOJ and two separate multilateral development banks for a large South American company in the wake of a multi-jurisdictional resolution worth billions of USD.
Fortune 500 Company
Conducted an internal investigation into potential FCPA violations at a foreign subsidiary of a Fortune 500 multinational corporation. Conducted more than 60 interviews of employees, reviewed business lines and relationships with key customers and distribution channels, and conducted forensic analysis of accounting records and internal controls. Investigation included a review of business units in more than 15 countries to assess FCPA risks.
A Multinational Agricultural Company
Conduct an internal investigation into allegations of improper payments made to a government official in a Latin American country, which included assisting with recommendations to enhance and improve the Company’s compliance program and implementation of those remedial measures.
A Multinational Electronics Company
Representation in an SEC FCPA investigation involving conduct in Latin America related to our client’s engaging in a business relationship with a company that was subsequently involved in a government corruption scandal.
Audit Committee of International Company
Represented the audit committee of an international supplier of agricultural products in its internal investigation resulting from a whistleblower complaint alleging violations of the FCPA in the Middle East. This matter was one of the first cases to be reported to the SEC under its whistleblower rules enacted in 2011. After we completed the investigation and reported the result to the SEC, it declined to conduct an investigation of its own and closed the file.
Fortune 500 Company
Represented a Fortune 500 company with anti-corruption due diligence in connection with the acquisition of a foreign telecom company with substantial operations in Africa, Latin America, Southeast Asia and the Middle East.
Global Retailer
Represented a senior executive of a global retailer in connection with an investigation by the DOJ, SEC and other agencies into possible violations of the FCPA in Mexico, Brazil and other countries.
A Foreign Bank
Representation in connection with inquiries from banking regulators regarding the Bank’s relationships with customers and entities involved in well-known corruption and money laundering schemes as well as the Bank’s own BSA/AML controls, which implicates bank secrecy laws and the privacy and data security laws of various jurisdictions.
A U.S. Holding Company for a Multinational Bank
Conducted an independent assessment of the Company’s compliance program, including reviewing the bank’s governance, internal controls, audit, and filtering systems, to ensure compliance with U.S. sanctions laws pursuant to a Consent Order entered into with the Board of Governors of the Federal Reserve System.
A State-Owned Bank
Conducted a multi-year internal investigation into anti-money laundering controls and potential violations of U.S. sanctions laws at the New York branch of the Bank, which culminated in a deferred prosecution agreement to settle allegations made by federal and state regulators. The representation also involved securing a motion to dismiss in a related civil action where Plaintiffs sought over US $1 billion directly from the Bank related to allegations of fraudulent conveyance.
Multi-Faceted Investigation of University Grants
Advised a major U.S. research University in a criminal and civil investigation of alleged false claims relating to federal research grants and contracts.
Various Individuals in South America
Representation of individuals in South America working for U.S. headquartered Bank in investigation by DOJ regarding potential violations of Bank Secrecy Act and anti-money laundering laws.
Former Mortgage Executive
Represented the Chief Financial Officer of one of the largest national mortgage originators, now bankrupt, in an SEC investigation and related shareholder litigation arising from the credit crisis.
Recognized in FCPA (USA)
Chambers Global 2024
Recognized in Corporate Crime & Investigations
Chambers Global 2024
Recognized in White Collar Crime & Government Investigations (New York)
Chambers USA 2024
Recognized in FCPA (Nationwide)
Chambers USA 2024
Recognized in Corporate Crime & Investigations
Chambers Latin America 2024
Recommended in Corporate Investigations and White Collar Criminal Defense
Legal 500 US 2023
Named a “Leading Individual” in Compliance and Investigations
Legal 500 Latin America 2024
Named a “Top Practitioner” in Compliance and Investigations
Legal 500 Latin America 2022
Top 10 Influential Latin America Corporate Crime Lawyers
Business Today 2023
Notable Diverse Leader in Law
Crain's New York Business 2022
Notable Hispanic Leader in Law
Crain's New York Business 2022
Latin America's Top 100 Lawyers: FCPA & Fraud
LatinVex 2022
Top 100 Women in Investigations
Global Investigations Review 2018
Top 40 Under 40: World's Leading Investigations Lawyers
Global Investigations Review