Seth Whitelaw Email and Phone Number
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With over 30 years of experience in the life science industry, I am passionate about providing practical and pragmatic compliance solutions to small and medium-sized companies. As the President and CEO of Whitelaw Compliance Group, I help clients develop and implement effective R&D ethics and compliance programs, tailored to their specific needs and challenges. My expertise covers a wide range of regulatory and legal issues, such as drug and device development, marketing, manufacturing, and quality. In addition to my consulting work, I enjoy sharing my knowledge and insights with the next generation of professionals and leaders in the field. I teach courses on legal compliance essentials, health care compliance skills, and health care law and opioids at Saint Joseph's University and Mitchell Hamline School of Law. I also write articles, contribute to policy forums, and speak at various events on topics related to life science compliance, transparency, and innovation. My goal is to inspire and empower others to pursue excellence, integrity, and social responsibility in the life science industry.
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Adjunct ProfessorSaint Joseph'S UniversityPhiladelphia, Pa, Us -
Adjunct ProfessorSaint Joseph'S University Jan 2024 - PresentPhiladelphia, Pa, UsCourses:-- Legal Aspects of Drug & Device Development & Marketing -
President & CeoWhitelaw Compliance Group, Llc. Apr 2015 - PresentWest Goshen Township, Pennsylvania, UsFocused on small to medium-sized life science companies, the Whitelaw Compliance Group provides practical, pragmatic compliance integrity services to clients. Our special niche is R&D ethics and compliance programs. -
Senior Fellow And Adjunct Professor, Life Sciences ComplianceMitchell Hamline School Of Law Sep 2016 - PresentSt. Paul, Mn, UsCourses:-- Legal Compliance Essentials for Drug, Device & Biotech Companies-- Health Care Compliance Skills-- Health Care Law & OpioidsSeminar:-- Industry at the Crossroads, Legal & Ethical Considerations of Selling Pharmaceuticals in 2016 -
EditorPolicy & Medicine Compliance Update Oct 2015 - Feb 2024Policy & Medicine Compliance Update (formerly Life Science Compliance Update) is a monthly publication providing comprehensive, up-to-date compliance information for pharmaceutical, biotechnology, and device manufacturers. Each issue covers important news and analysis, with input from top compliance officers and healthcare attorneys across the industry. Information on the Update can be found at https://www.lifescicompliance.com/.
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Interim Chief Compliance OfficerMisonix, Inc. Dec 2016 - Jun 2017Interim Chief Compliance Officer for Misonix, Inc., which specializes in the development and commercialization of ultrasonic surgical devices for neurosurgical, spinal, advanced wound care, and general surgery procedures. Responsible for the day-to-day implementation and operation of the Compliance Program including compliance efforts involving interactions with health care professionals and anti-bribery/anti-corruption.
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Director, Life Sciences ComplianceDeloitte & Touche Llp Oct 2011 - Apr 2015Worldwide, OoSupporting clients to meet compliance obligations in the R&D and commercial life sciences areas with special focus on bribery and corruption issues pertaining to research trials and grants, Medical Affairs and Medical Science Liaisons. Lead the Advisory Practice’s transparency team assisting U.S. and other global pharmaceutical and medical device clients in developing effective processes and operating approaches to meet both U.S. Sunshine Act requirements, as well as other global requirements (e.g., France, Japan and EFPIA).Serve as Editor-in-Chief and contributing author for the firm’s @Regulatory bulletins since 2013. -
R&D Compliance OfficerGlaxosmithkline Jan 2001 - Oct 2011Brentford, Middlesex, Gb• Successfully designed, developed and led the corporate compliance infrastructure for GSK’s global R&D operations where none had existed previously. • Founded and supported the compliance infrastructure for GSK’s new R&D China site in Shanghai. • Provided compliance oversight and support to sites in U.S, U.K. China, Italy, Spain, France and Croatia with small (9) central staff on a wide range of topics including conflicts of interest, anti-kickback, FCPA, false claims, use of human biological samples, transparency, etc.• Created and implemented policies, systems and processes ahead of industry practice to reduce the risk from perceived improper influence with healthcare professionals (e.g., banning gifts).• Successfully negotiated with various regulatory authorities to resolve compliance issues.• Led compliance efforts surrounding GSK’s voluntary disclosure of research payments to healthcare professionals and healthcare institutions (e.g., transparency).• Helped lead R&D’s efforts to prepare for impending Corporate Integrity Agreement. -
Legal Compliance OfficerSmithkline Beecham Pharmaceuticals Jan 1997 - Jan 2001• Successfully designed, and implemented the corporate compliance infrastructure for the U.S. and Canadian commercial operations where none had existed previously, and co-led the integration of the departments during the Glaxo Wellcome/SmithKline merger.• Created and implemented policies, systems and processes ahead of industry practice to reduce the risk from perceived improper influence with healthcare professionals (e.g., banning gifts).• Successfully help lead the efforts to enhance SmithKline’s sample accountability (PDMA) program to meet emerging regulatory requirements.
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Senior Attorney & Compliance CoordinatorC.R. Bard, Inc. Jan 1991 - Jan 1997Murray Hill, New Jersey, Us• Created and implemented Bard’s original corporate compliance program to meet the requirements of the Federal Sentencing Guidelines and Bard’s Plea Agreement with the U.S. Department of Justice, and served as Bard’s first Compliance Officer.• Successfully directed and managed Bard’s company-wide document production efforts for the U.S. v. C.R. Bard, Inc. litigation resulting in the production of over 750,000 responsive pages.• Created, managed and implemented a Legal Audit Program to provide the Corporation with a concrete evaluation of its overall compliance with both the federal FDA regulatory scheme and its own internal policies. This program was successfully integrated with Bard’s already established internal and quality auditing programs.
Seth Whitelaw Skills
Seth Whitelaw Education Details
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Widener University Schools Of LawHealth Law -
The George Washington University Law SchoolAdministrative Law -
Washington And Lee University School Of LawJ.D. -
Bowdoin CollegeHistory
Frequently Asked Questions about Seth Whitelaw
What company does Seth Whitelaw work for?
Seth Whitelaw works for Saint Joseph's University
What is Seth Whitelaw's role at the current company?
Seth Whitelaw's current role is Adjunct Professor.
What is Seth Whitelaw's email address?
Seth Whitelaw's email address is sw****@****nix.com
What is Seth Whitelaw's direct phone number?
Seth Whitelaw's direct phone number is +163169*****
What schools did Seth Whitelaw attend?
Seth Whitelaw attended Widener University Schools Of Law, The George Washington University Law School, Washington And Lee University School Of Law, Bowdoin College.
What are some of Seth Whitelaw's interests?
Seth Whitelaw has interest in Children, Environment, Education, Poverty Alleviation, Animal Welfare.
What skills is Seth Whitelaw known for?
Seth Whitelaw has skills like Pharmaceutical Industry, Fda, Regulatory Affairs, Strategy, Medical Devices, Biotechnology, Life Sciences, Regulatory Requirements, Mergers And Acquisitions, Management, Cross Functional Team Leadership, Corporate Governance.
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