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Bill Morrison: Lawyer with Haynes and Boone, LLP

Bill Morrison

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Partner
Dallas,  TX  U.S.A.
Phone214-651-5018

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Experience & Credentials
 

Practice Areas

  • Antitrust Counseling and Compliance
  • Government Civil Investigations
  • Healthcare
  • Litigation/Trial Practice
  • Electronic Discovery Services
  • Healthcare Litigation
  • False Claims Act/Qui Tam
  • White Collar Criminal Defense
  • Foreign Corrupt Practices Act
  • Government Investigations
  • Healthcare Fraud and Abuse
  • Internal Corporate Investigations
 
Contact InfoTelephone: 214-651-5018
Fax: 214-200-0604
http://www.haynesboone.com/bill_morrison/
 
University Baylor University, B.A., Philosophy, 1995
 
Law SchoolUniversity of Oklahoma College of Law, J.D., 1998
 
Admitted1998, Texas
 
BornReno, Nevada
 
ISLN913231478
 
Transactions Represented one of the largest North American dairies in investigations by the U.S. Department of Justice's Antitrust Division and the Attorney General of Texas into alleged bid rigging and market allocation among school districts. Represented healthcare group purchasing organization in connection with civil and criminal investigations by the U.S. Attorney's Office (N.D. Tex.) and U.S. Department of Health and Human Services Office of Inspector General into alleged violations of anti-kickback statute. Represented former national sales director of an orthopedic spine company in federal civil and criminal investigation by U.S. Attorney's Office (N.D. Tex.) into alleged payment of kickbacks to physicians to induce use of company's surgical devices. Represented a leading national bank in connection with investigations by two U.S. Attorney's Offices (N.D. and S.D. Tex.) into allegations lending improprieties and fraud upon the Small Business Administration. Represented one of the nation's leading international, full-service commercial real estate investment management and mortgage loan companies in an internal investigation of allegations of potential employee kickback scheme. Assisted client in making criminal referral. Represented SCCI in the False Claims Act action filed by six relators alleging false claims for payment related to the admission and continued hospitalization of patients in a long-term acute care facility. The AUSA declined to intervene and the action was partially unsealed for the purpose of settlement. Represented one of the nation's largest healthcare providers in an internal investigation of allegations of potential submission of false claims in the cardiac catheterizations laboratory. The investigation included a review of medical records to analyze quality of care issues. Advised client on voluntary disclosure issues. Represented one of the nation's largest healthcare providers in an internal investigation of allegations of potential submission of false claims for improper coding of cardiac stent procedures. Advised client on voluntary disclosure issues. Advised and counseled one of the nation's largest healthcare providers in the self-disclosure of overpayments for excluded employees. Negotiated settlement with the Department of Justice and HHS OIG on behalf of client. Represented one of the nation's largest healthcare providers in a national healthcare investigation regarding site of service for kyphoplasty procedures. Represented a healthcare provider in connection with a federal grand jury subpoena. Represented a healthcare provider in connection with a Civil Investigative Demand regarding potential False Claims Act violations. Led investigations and audits undertaken by federal and state agencies, including the United States Department of Justice, the United States Department of Health & Human Services Office of Inspector General, HHS Centers for Medicare and Medicaid Services, and state Medicaid Fraud Control Units. Led internal investigations relating to potential violations of civil and criminal fraud, false claims, anti-kickback, physician self-referral, and related state healthcare fraud and abuse laws.
 

Documents by this lawyer on Martindale.com

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State Medicaid RAC Audits to Begin in 2012
Stacy L. Brainin,Bill Morrison,Michael L. Silhol, December 1, 2011
Medicaid providers will be subject to new audits by Medicaid Recovery Audit Contractors (RACs), beginning in January 2012. These new audits will be in addition to existing audits being conducted by Medicare RACs, Medicaid Integrity Contractors (MICs) and Zone Program Integrity Contractors (ZPICs),...

CMS and OIG Respond to Senate Inquiry on Physician-Owned Distributorships
Thomas Wm. Mayo,Bill Morrison,Michael L. Silhol, September 22, 2011
The Centers for Medicare & Medicaid Services (CMS) and the Office of Inspector General (OIG) for the U.S. Department of Health & Human Services (HHS) have responded to the U.S. Senate’s request for information on physician-owned distributorships (PODs). Earlier this summer, a...

Armor Holdings, Inc., Settles Foreign Corrupt Practices Act Claims with SEC, DOJ
Bill Morrison,Timothy Newman,Emily W. Westridge, July 25, 2011
Armor Holdings, Inc., recently resolved allegations that it violated both the anti-bribery and accounting provisions of the Foreign Corrupt Practices Act. Because of Armor’s extensive cooperation with the government, it was able to obtain a non-prosecution agreement from the Department of...

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Office Information

Bill Morrison
Haynes and Boone, LLP
2323 Victory Avenue, Suite 700
Dallas, TX 75219




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