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Jonathan Aronie

Jonathan Aronie

Position

Jonathan Aronie is the Leader of Sheppard Mullin's Governmental Practice Group and is a former Managing Partner of the Washington, D.C. office. Jonathan also is a founding member of the firm's Organizational Integrity Group, a cross-disciplinary team of litigators, regulatory specialists, federal monitors, and ex-prosecutors with extensive experience helping organizations prevent and defend against challenges to their organizational integrity.

Jonathan counsels and represents large and small clients in some of the country's most prominent classified and unclassified government contracts matters, including bid protests, claims, self-disclosures, internal investigations, Department of Justice (DOJ) investigations, and False Claims Act investigations. As the co-founder and co-leader of the firm’s Organizational Integrity Group, Jonathan also spends significant time working with clients to identify and mitigate known and unknown risks before those risks become problems.

Jonathan’s experience includes litigating under the qui tam provisions of the False Claims Act, conducting early risk-based “legal pre-mortems,” developing and implementing corporate compliance programs, conducting internal investigations (proactive and defensive), and providing advice on the FAR Mandatory Disclosure Rule as well as a variety of federal regulatory and statutory matters. He frequently represents clients before the DOJ, the Government Accountability Office, the General Services Administration, and other defense and civilian agencies. Additionally, Jonathan is cleared at the highest levels (TS/SCI) and counsels and defends clients in classified matters.

Jonathan has authored more than 100 articles and co-authored what is regarded by many as the leading treatise on the GSA Multiple Award Schedule Program, published by Thomson West. He is a regular speaker at national and international forums and CLE programs, including Government-sponsored symposia. He is a member of the Public Contracts section of the ABA and served on the ABA Task Force that drafted formal guidance regarding the FAR Mandatory Disclosure Rule.

Jonathan's significant matters include:

protest of an Air Force award of a $15 billion Combat Search & Rescue (CSAR) aircraft to the Boeing Company; defense of a Navy award of a $1.2 billion Broad Area Maritime Surveillance (BAMS) contract to Northrop Grumman against a GAO protest; defense of a GSA Schedule contractor in a post-award audit and civil fraud investigation conducted by the GSA OIG Investigations Division; pursuit of a civil Court of Federal Claims suit against the Department of Interior challenging unlawful Termination for Default of a civilian contractor; implementation of a comprehensive Mandatory Disclosure compliance program for a Fortune 100 defense contractor; defense of a Fortune 100 defense contractor in a $300 million False Claims Act lawsuit pursued by the DOJ; defense of a GSA Schedule contractor in a $750 million False Claims Case lawsuit pursued by the DOJ; and defense of multiple GSA Schedule IT contractors in a False Claim Act lawsuit brought by a competitor whistleblower.

As part of Jonathan's internal investigation practice, he was appointed in 2013 by the U.S. District Court for the Eastern District of Louisiana as the federal monitor over the New Orleans Police Department (NOPD) responsible for reviewing, assessing, and reporting publicly on the NOPD's compliance with a far reaching federal Consent Decree. He previously served as the Deputy Independent Monitor over the Metropolitan Police Department, a position created as a result of an agreement between the DOJ and the District of Columbia.

Education

J.D., Duke University, 1993

B.A., Brandeis University, 1990, with honors

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