1100 Peachtree Street NE Suite 2800, Atlanta, GA USA 30309
Scott Marrah co-leads both the Government Enforcement & Investigations Team and the Environmental, Social and Governance (ESG) Practice at Kilpatrick Townsend. He also serves on the firm's Executive Committee. Mr. Marrah has extensive experience in the areas of white collar criminal defense, internal, criminal and SEC investigations, and complex commercial litigation. He has significant trial and appellate experience gained from years as both a federal prosecutor and a defense attorney in private practice.
Mr. Marrah assists clients with government enforcement issues including the Foreign Corrupt Practices Act, the False Claims Act (including government contracting, healthcare and tax matters), Civil Investigative Demands, securities fraud allegations, criminal environmental and antitrust issues and export enforcement. He also regularly represents financial institutions in matters with DOJ, SEC, FDIC, and OCC, including subpoena compliance and internal investigations. He assists companies with grand jury inquiries and has handled investigations conducted by the Office of Inspector General from a variety of federal agencies.
Mr. Marrah served as the Deputy Monitor for Anti-Corruption, Ethics and Compliance for Larry D. Thompson, the Volkswagen AG Independent Compliance Monitor & Auditor and his team. The team oversaw VW AG’s compliance with Plea Agreement and Consent Decree obligations arising from parallel criminal and civil cases concerning the company’s diesel-powered cars sold in the United States. Mr. Marrah managed and led the team of attorneys, auditors, and consultants that reviewed, audited and tested the design and operating effectiveness of the company’s anti-fraud and ethics remedial measures and compliance program improvements.
Prior to joining the firm, he served as an Assistant United States Attorney in the Southern District of New York, where he successfully investigated and prosecuted a wide array of federal offenses in the areas of terrorism and national security, securities fraud, RICO, white collar crime, money laundering, export control and commerce violations, organized crime, trademark infringement and counterfeiting, mail, wire and bank fraud and international narcotics. As an Assistant United States Attorney, Mr. Marrah had numerous jury trials, bench trials, and hearings in federal court and also briefed and argued appeals before the United States Court of Appeals for the Second Circuit.
Before serving as a prosecutor, Mr. Marrah was a partner in an international law firm where he handled internal corporate investigations, white collar criminal defense, False Claims Act cases and complex commercial litigation matters. He also handled matters involving the Foreign Corrupt Practices Act, healthcare, environmental and SEC issues.
Mr. Marrah listed in the 2021 and 2022 editions of Chambers USA: America’s Leading Lawyers for Business in the area of White-Collar Crime and Government Investigations Litigation. He was listed in 2018 and 2019 by The Best Lawyers in America® for White-Collar Criminal Defense and again in 2020, 2021, 2022 and 2023 for White-Collar Criminal Defense and Commercial Litigation. He was recognized as a Georgia "Super Lawyer" in Criminal Law in 2018 and the seven years prior by Super Lawyers magazine. Mr. Marrah was also named to Georgia Trend's "Legal Elite" list for Criminal Law in 2016 and the seven years immediately preceding. He has been recognized repeatedly for Business Crime Defense in The International Who's Who of Business Lawyers.
Advise clients on ESG-related enforcement trends, including providing training to corporate legal and compliance departments, policies and checklists.
Conducted a cross-border internal investigation on behalf of an Audit Committee of a European company into potential breaches of FDA regulations, the False Claims Act, and corporate policies.
In less than four months, convinced the Civil Division of the Department of Justice that a whistleblower’s claims against a company did not merit the Government’s intervention into a sealed qui tam litigation. Soon after, the whistleblower voluntarily dismissed her litigation.
Led corporate internal and government investigations of potential misconduct, including criminal antitrust and securities violations, and other criminal statutes.
Represented a public company in an investigation of an employee's suspected possession of inappropriate and criminal material on company-owned computer equipment and worked with FBI and U.S. Attorney's office in the investigation.
Represented several publicly traded companies in defense of shareholder class actions alleging violations of the Securities Exchange Act and shareholder-related derivative suits.
Conducted internal investigation for a Fortune 100 company involving an employee kickback scheme.
Represented hospital system in successful resolution of Department of Justice and Office of Inspector General investigation.
Represented a company in criminal tax matter, resulting in Department of Justice declination of prosecution.
Advised a Fortune 500 company on criminal liability and government disclosures related to internal computer audits.
Represented large international law firm in SEC investigation related to insider trading allegations.
Advised a Fortune 500 company with respect to computer intrusions and related computer crimes.
Represented corporations in civil and criminal False Claims Act investigations and litigation, including government contracting, tax and healthcare matters.
Advised a Fortune 500 company on fraud relating to internet usage as well as email communications.
Assisted corporate clients with subpoenas and investigations by the New York State Attorney General's Office.
Assisted large American retail company in investigating and pursuing trademark infringement in Asia, including potential criminal and civil remedies.
Served as co-lead counsel in successful RICO prosecution of 32 members and associates of the Gambino crime family, including the Acting boss, Underboss and high ranking captains. The six-week jury trial resulted in conviction of the family captain.
Served as lead counsel in prosecution of large-scale securities, wire, and mail fraud conspiracies.
Sole prosecutor in prosecution of trader on the floor of the American Stock Exchange, for securities and wire fraud charges in connection with a scheme to defraud his employer, a specialist firm and member of the American Stock Exchange.
Performed an internal investigation for an international construction company into Foreign Corrupt Practices Act issues as well as conducted training for employees.
Counsel to Special Committee of Board of Directors for investigation of shareholder demand issues, including full internal review and report of findings.
Investigated and prosecuted cases involving national security matters, Foreign Corrupt Practice Act, export violations and counter proliferation issues.
Investigated and prosecuted numerous individuals for providing material support to terrorists and/or terrorist organizations.
Served as co-lead counsel in RICO prosecutions of over eighty defendants, including bosses of two Asian organized crime enterprises in Manhattan.
Conducted an internal investigation into Foreign Corrupt Practices Act issues in the Caribbean for a public company and later, provided extensive training to executive officers, the legal department as well as employees.
Represented a medical group, in an investigation by the U.S. Attorney’s Office and U.S. Department of Health & Human Services concerning medical billing, which resulted in a favorable settlement.
Represented executives and employees of a pharmaceutical manufacturer in an off-label marketing investigation initiated by a False Claims Act lawsuit.
Led an internal investigation into a fraudulent scheme conducted by an officer of a medical group.
Represented a former White House official in Department of Justice criminal investigation.
Represented multiple health care clients in connection with internal investigations and assistance in developing and implementing comprehensive compliance programs.
Internal investigation on behalf of a Fortune 100 company of potential criminal and regulatory exposure arising from an environmental incident in Midwest.
Advised an international consumer goods manufacturer on Foreign Corrupt Practices Act issues as well as assisted in drafting its FCPA policy, guidelines and contract language.
Internal investigation on behalf of a board of directors of a Fortune 500 company regarding potential Foreign Corrupt Practices Act violations in the Middle East, Southeast Asia and Africa.
Represented a group of employees in an investigation by a U.S. Attorney’s Office, the Nuclear Regulatory Commission and Immigration & Customs Enforcement relating to the export of medical devices to sanctioned countries.
In less than three months, we convinced the Department of Justice not to take any action against a client employee for allegedly stealing trade secrets from a competitor. During the investigation, our client continued to be a witness and did not have any criminal exposure.
Convinced the Department of Justice to decline prosecution of a construction company, after the DOJ had previously identified the company as a target of an environmental crime investigation.
Internal investigation on behalf of audit committee of NYSE-listed energy company to assess allegations regarding a wide array of issues, including securities and accounting fraud, violations of Sarbanes-Oxley and compliance with a variety of federal and state regulations.
Represented an Audit Committee of a medical diagnostic company in conducting an internal investigation involving compliance and assisting with related government disclosure and resolution.
Performed an internal investigation in China concerning potential crimes and breaches of internal policies and procedures, and advised the public company’s Audit Committee on next steps and remedial measures.
Insights View All
Ohio State University, Moritz College of Law J.D. (1993) with honors
Ohio State University B.A. (1990) summa cum laude
U.S. Court of Appeals for the Eleventh Circuit (2007)
U.S. Court of Appeals for the Second Circuit (2005)
U.S. Court of Appeals for the Sixth Circuit (1994)
U.S. District Court for the Northern District of Georgia (1999)
U.S. District Court for the Southern District of Ohio (1995)
U.S. Court of Appeals for the Sixth Circuit - Honorable Alice M. Batchelder
Georgia Bar Association, Member
Federal Bar Association, Executive Committee of Atlanta Chapter
International Bar Association, Member
While we are pleased to have you contact us by telephone, surface mail, electronic mail, or by facsimile transmission, contacting Kilpatrick Townsend & Stockton LLP or any of its attorneys does not create an attorney-client relationship. The formation of an attorney-client relationship requires consideration of multiple factors, including possible conflicts of interest. An attorney-client relationship is formed only when both you and the Firm have agreed to proceed with a defined engagement.
DO NOT CONVEY TO US ANY INFORMATION YOU REGARD AS CONFIDENTIAL UNTIL A FORMAL CLIENT-ATTORNEY RELATIONSHIP HAS BEEN ESTABLISHED.
If you do convey information, you recognize that we may review and disclose the information, and you agree that even if you regard the information as highly confidential and even if it is transmitted in a good faith effort to retain us, such a review does not preclude us from representing another client directly adverse to you, even in a matter where that information could be used against you.