Jonathan Haray represents corporations and
individuals in government investigations,
securities and regulatory enforcement
matters, and white-collar litigation.
Recognized by Chambers USA and
the National Law Journal as being
a leading white-collar government
investigations and criminal defense
lawyer, Jonathan advises corporate clients
on sensitive matters involving government
regulators and law enforcement agencies,
as well as in commercial disputes and
internal investigations.
He has extensive government experience as
a federal prosecutor, Securities Exchange
Commission (SEC) litigator, and Navy Judge
Advocate, including serving in leadership
positions at the US Department of Justice
(DOJ) and the nation's largest US
Attorney's Office. Jonathan has supervised
some of the Justice Department's most
complex and high-profile corporate and
individual white-collar cases involving
securities fraud, government procurement
fraud, and regulatory and consumer
offenses, and he has been entrusted to
handle extremely challenging and
high-profile matters.
Jonathan has conducted more than 50
criminal and civil trials, including three
dozen jury trials.
Successfully defended the chief executive officer
(CEO) of a government contractor information
technology (IT) company charged with conspiracy and
bribery offenses, obtaining a complete post-indictment
dismissal of all charges
Obtained a favorable SEC settlement for a leading
telecommunications company following an investigation
into alleged FCPA violations in Latin America
Defended a multinational telecommunications company in
a DOJ Foreign Corrupt Practices Act of 1977 (FCPA)
investigation resulting in a full declination of
charges
Represented a Fortune Global 500 public company in a
DOJ FCPA investigation involving multiple
jurisdictions, obtaining a complete declination from
prosecution
Conducted an internal investigation for a public US
information technology company into alleged FCPA
violations in Mexico and Latin America
Defended a major defense contractor in parallel civil
and criminal investigations involving alleged
violations of the False Claims Act
First-chaired a trial before the World Bank Sanctions
Board for a European information technology company
challenging charges of collusion and obstruction
Represented several senior executives in DOJ and SEC
investigations into alleged accounting fraud and
channel stuffing
Conducted an investigation into alleged spoofing on
behalf of a derivatives trading firm and negotiated a
favorable settlement with a national derivatives
exchange
Represented an international bank in a
sanctions-related joint investigation by the Office of
Foreign Assets Control (OFAC), DOJ, and the District
Attorney of New York
Defended a public US technology company in an SEC
investigation concerning internal controls over
financial reporting
Represented a public US information technology company
in parallel DOJ and SEC investigations into alleged
FCPA violations in India
Represented a senior executive of a national
broker-dealer concerning Anti-Money Laundering (AML)
compliance issues in an SEC investigation
Represented a large international trader of crude oil
futures in an investigation into possible market
manipulation
Defended a senior foreign exchange (FX) trader at a
major bank in a multi-nation criminal investigation
into alleged manipulation of FX rates
Awards and Recognitions
Chambers USA
Band 5, District of Columbia Litigation: White-Collar
Crime & Government Investigations, (2021 –
2022)
Criminal Law Trailblazer,
National Law Journal, (2020)
Distinguished Legal Writing, Burton Award, (2017)
"Standout Lawyer" of the District of Columbia FCPA
Bar, Global Investigations Review, (2016)
Assistant Attorney General's Award, Criminal Division,
US Department of Justice
US Attorney's Award for Exceptional Performance, US
Department of Justice
Special Achievement Award for Superior Performance
(six awards), US Department of Justice
Commendation, Federal Bureau of Investigation (FBI)
Commendation, IRS-Criminal Investigation
Commendation, Inspector General for the Department of
Justice
Commendation, US Postal Inspection Service
Education
J.D., Syracuse University College of Law cum laude
B.A., University at Albany
Bylines
Co-author, "Historical Patterns Cannot Justify
Contemporary Violations of Constitutional
Guarantees—Renewed Constitutional Attacks on FCA
Qui Tam Provisions," The Legal Intelligencer,
September 10, 2025
Co-author, "Securities and Exchange Commission
Roundtable Presents Both Risks and Opportunities of
Artificial Intelligence in the Financial
Industry," The Banking Law Journal, July – August 2025
Co-author, "Spoofing' Prosecutions: The DOJ's
Approach," New York Law Journal, April 2,
2021
Co-author, "With Friends Like These: The Insider
Trading Risk Presented By Family Members, Friends and
Contractors," Securities Regulation Daily,
July 16, 2019
Co-author, "Gov't Contractors, Be Prepared For FCA
Parallel Proceedings," Law360, Apr 24, 2019
Co-author, "White Collar Crime Report,"
Bloomberg Law, Mar 31, 2017
Co-author, "Defending Against Insider Trading Claims,"
Practical Law, February/March 2016
Seminars
Moderator, "Conducting Parallel Criminal and Civil
False Claims Act Investigations", Federal Bar
Association Qui Tam Conference, February 28, 2019
Panelist, "Using Experts in Qui Tam Cases, Federal Bar
Association Qui Tam Conference", February 27, 2018
Panelist, "Ethical Issues in Large Corporate
Investigations, Association of Corporate Counsel", New
Jersey, September 16, 2016
Panelist, "Government Negotiations, Foreign Corruption
2016 - 9th Annual Chicago White Collar Crime and
Corporate Governance Seminar", April 13, 2016
Moderator, "Trends in Financial Crimes and High-Tech
Fraud, American Bar Association", Tort Trial &
Insurance Practice Section, November 6, 2015
Prior Experience
Jonathan has served in several senior positions within
the US DOJ, including most recently as a Principal
Assistant Deputy Chief of the Criminal Division's Fraud
Section, where he supervised complex corporate and
individual prosecutions in the Market Integrity and
Major Frauds Unit, led efforts to expand the use of data
to identify and prosecute market abuses, and coordinated
with regulators and enforcement agencies in the US and
abroad. Jonathan also served as an Assistant Special
Counsel at the Justice Department from 2022 to 2023.
Earlier in his career, he served as Deputy Chief of the
Fraud and Public Corruption Section at the US Attorney's
Office in Washington, DC, where he supervised senior
prosecutors and oversaw white collar investigations and
litigation. During more than a decade as an Assistant US
Attorney, Jonathan prosecuted cases involving FCPA
violations, False Claims Act violations, healthcare
fraud, corporate and insurance fraud, money laundering,
and Bank Secrecy Act violations. He also prosecuted high
profile public corruption cases and led the successful
prosecution of the first sitting Washington, DC Council
member ever to be charged with felony corruption
offenses, resulting in what the
Washington Post described as "the most severe
criminal sanction ever given to a local elected official
in the District." He also served as a senior federal
prosecutor investigating and litigating homicide and
other violent crime cases and argued cases before the
District of Columbia Court of Appeals.
Jonathan also served as an Assistant Chief Litigation
Counsel for the SEC, where he handled complex securities
enforcement matters, including cases involving FCPA and
securities fraud violations, and earlier he served in
the US Navy, Judge Advocate General's Corps.
Teaching Experience
Adjunct Law Professor, Trial Practice, George Washington
University Law School
Memberships And Affiliations
President, Assistant United States Attorney Association
of the District of Columbia (2019 – 2021)
Board Member, Assistant United States Attorney
Association of the District of Columbia
Barrister, Edward Bennet Williams Inn of Court
Board of Directors, Washington Lawyers' Committee for
Civil Rights and Urban Affairs