Author: "Documenting and Implementing a Loan Swap," International Financial Law Review, October, 1984; "Proposed Disclosure Requirements for Foreign Investors in the U.S.: Temporarily Defeated but not Forgotten," Investment U.S.A. (BNA: June, 1988); "Advanced Medical Directives and the Role of the Church," The Christian Century (December 1, 1994); "Clergy Sexual Misconduct: The Church's Legal Liabilities," Circuit Rider (September, 1992); "Is it really so hard? The basics of Corporate Compliance can be traced back to Kindergarten," Business Law Today (Sept./Oct. 2003). Chief, Contractor Enforcement and Compliance Section, Resolution Trust Corporation, Washington, D.C. (November 1992-July 1994). Partner, Prokop and Noble, Washington, D.C. (1988-1992). Partner, Cole Corette and Abrutyn, Washington, D.C. and London (1981-1988). Executive Assistant and Legal Counsel to the Chair, U.S. Merit Systems Protection Board, Washington, D.C., 1979-1981. Special Assistant to the General Counsel, U.S. Department of Housing and Urban Development, Washington, D.C. (1977-1979). Staff Attorney, General Telephone and Electronics, Washington, D.C. (1976-1977).