Michael H. Huneke
Michael Huneke helps multinational companies to navigate compliance and enforcement risks under US economic and national security areas such as export controls and economic sanctions. Mike is trusted by clients to assist with designing, executing, and defending frameworks for making subjective assessments of risk with imperfect information, especially regarding probability-based enforcement regimes such as US export controls, the US Department of the Treasury’s Outbound Investment Rule, and the US Department of Commerce’s Office of Information and Communications Technology and Services regime.
A thought leader in this space, Mike frequently writes and speaks about high probability compliance and enforcement strategies, geopolitics, and corporate white-collar enforcement.
The Legal 500 has recognized Mike as a “voice of reason when it comes to compliance matters,” with clients’ feedback including that Mike “stands out for his multi-jurisdictional knowledge of compliance, pragmatism and efficiency in handling cases.”
Mike received Lexology’s Client Choice Award for Investigations-USA for 2023, 2024, and 2025. Clients’ feedback included that Mike is “one of the top investigative lawyers around,” “a trusted advisor and valued partner to our company,” and “always able to quickly respond to the client’s queries even on a short notice and provides guidance which is at the same time precise and compelling.” Prior to joining Morgan Lewis, Mike co-chaired the sanctions, export controls, and anti-money laundering practice at another international law firm.
International Economic Sanctions & Export Controls
- Helping a multinational IT services and data center company to enhance its assessment of US export controls risks for Infrastructure-as-a-Service (IaaS) and Software-as-a-Service (SaaS) solutions for international clients
- Advising an international logistics company on US export controls compliance (including Foreign Direct Product Rules’ applicability)
- Conducted a compliance risk assessment for a UAE-based renewable energy business
- Represented a multinational oil and gas company regarding an internal review of compliance with economic sanctions, specifically related to distributor and reseller networks
- Representing a multinational oil and gas company regarding an internal review of compliance with economic sanctions
- Assisting a multinational client to design and implement economic sanctions and export controls due diligence on third-party distributors, resellers, and freight forwarders
- Representing a manufacturing company regarding concurrent Bureau of Information and Security, Office of Foreign Assets Control, and US Attorney’s Office reviews of a joint venture’s acquisition target and regarding integration of the target into the joint venture’s compliance program
- Representing a manufacturing company regarding the repurposing of now-secondhand industrial equipment originally intended for Russian end use prior to the imposition of economic sanctions that made the original sale impossible to fulfill
- Represented a purchaser on several transactions collectively for more than $700 million regarding preacquisition economic sanctions and export controls due diligence and integration planning
- Advised a US-based manufacturer of medical products regarding its distribution networks into otherwise sanctioned countries
- Represented an international aerospace and defense company in connection with a review of third parties and related reporting requirements under the International Traffic in Arms Regulations (ITAR)
Internal and External Anti-Corruption Investigations or Reviews
- Advising a multinational infrastructure company regarding the World Bank’s sanctions procedures
- Represented a world-leading aerospace and defense company in connection with criminal investigations by multiple jurisdictions related to its historical use of third parties
- Represented a Chinese state-owned enterprise regarding a multilateral development bank investigation into sanctionable practices that was ultimately dropped
- Represented a central Chinese state-owned enterprise in connection with the resolution of an African Development Bank investigation into conduct in Africa
- Represented an executive of a company cooperating with a World Bank investigation for sanctionable practices, in the resolution of which the executive was not charged
- Represented a multinational CAC40-listed power, energy, and transportation company regarding its cooperation commitments under a settlement with the World Bank and regarding proffers made to the US Department of Justice (DOJ) regarding conduct in Brazil
- Represented an Indian company in connection with an audit and inspection of multiple projects by the World Bank’s Integrity Vice Presidency
- Represented a Norwegian consulting company in contested proceedings before the World Bank's Sanctions Board
- Represented a NYSE-listed pharmaceutical company in responding to a civil investigative demand by a US Attorney’s Office regarding potential Foreign Corrupt Practices Act and False Claims Act violations
- Represented a client in parallel criminal and civil export controls investigations by the US DOJ and the US Department of Commerce’s Bureau of Industry and Security
- Conducted an internal investigation at a Fortune 10 energy company regarding a whistleblower’s health, safety, and environmental allegations, and presenting the investigation’s results and recommendations to senior management
Post-Resolution Monitorships or Other Commitments
- Represented a global, NYSE-listed company with regard to its independent compliance monitor imposed by US authorities
- Acted as “buffer counsel” between a central Chinese state-owned enterprise and an independent compliance monitor imposed by the African Development Bank
- Represented a multinational "supermajor" oil and gas company in connection with a worldwide risk assessment and compliance audit, in coordination with a compliance monitor
- Represented an internal oil services company regarding post-resolution regional anti-corruption reviews, in coordination with the company’s compliance monitor
- Acted as “buffer counsel” between a CAC40-listed power, energy, and transportation multinational and its independent compliance monitor imposed as part of the company’s resolution of a World Bank sanction investigation; the monitorship was successfully completed and was the first-ever cited by the DOJ as reason for not subsequently imposing a monitorship in the resolution of the company’s US investigation
- Assisted the independent compliance monitor as imposed on Innospec by the DOJ, US Securities and Exchange Commission, UK Serious Fraud Office, and US Office of Foreign Assets Control
- Assisted with an independent compliance review of a United Nations contractor
Due Diligence on Third Parties
- Helped to design and successfully implement a strategy to identify, analyze, and (where possible) mitigate compliance risks associated with nearly 300 historical third parties that was cited by regulators as one of the reasons for deferring prosecution of the company
- Represented a leading aerospace and defense company with its due diligence on new third parties or third parties proposed for renewal
- Represented a NYSE-listed company with due diligence on select high-risk third parties
- Represented a medical device company with due diligence on third-party distributors or channel partners
- Represented an international defense company with due diligence on third parties to assess compliance with INTAR
- Represented companies in defense, aerospace, pharmaceutical, medical device, oil and gas, oil services, power, energy, and transportation industries with the design and implementation of risk-based due diligence on third parties, including hundreds of interviews of client personnel and third parties in connection with such reviews
Mergers & Acquisitions Anti-Corruption Due Diligence and Related Investigations
- Assisting a multinational company with its pre-acquisition due diligence and post-acquisition integration of a US target company
- Provided anti-corruption and trade sanctions pre-acquisition due diligence advice to a NYSE-listed buyer across multiple transactions, several of which closed
- Represented a world-leading aerospace and defense company regarding select pre- or post-acquisition anticorruption due diligence reviews and/or compliance program integration
- Representing a global company in its implementation of a due diligence protocol regarding the former parent company’s due diligence on payments for agents supporting the since-acquired business line
- Represented a multinational company regarding the unwinding of several joint ventures, projects, or other investments with third parties, with a focus on the identification, analysis, and mitigation of potential anticorruption risks
- Represented a NYSE-listed company in conducting due diligence on an acquisition target’s third parties and conducting a subsequent review into a target subsidiary
- Represented a NYSE-listed pharmaceutical company regarding its pre- and post-acquisition anti-corruption due diligence of a target in Brazil
Compliance Program Enhancements, Risk Assessments, and Second-Level Controls
- Assisted a global technology company in conducting a worldwide, risk-based assessment of its anti-corruption risk, following a resolution of criminal investigations
- Advised a leading aerospace and defense company with ongoing review and enhancement of compliance policies and procedures
- Assisted a leading aerospace and defense company with the design of compliance verification visits to perform second-level controls at regional subsidiaries
- Assisted a leading aerospace and defense company with the design and execution of a comprehensive compliance risk assessment
- Conducted a comprehensive compliance program review for a leading US government defense contractor
- Conducted a comprehensive anti-corruption compliance program review for a central Chinese state-owned enterprise’s international operations
Other Litigation and Arbitration Experience
- Assisted arbitration counsel in identifying and raising public policy arguments sounding in anti-corruption in defending claims by a client’s former third parties
- Served as a witness regarding anti-corruption controls in practice in an international arbitration proceeding
- Represented Americans taken hostage, and their families or descendants, by the Islamic Republic of Iran in November 1979 in civil litigation under the US Foreign Sovereign Immunities Act
- Represented a defendant who provided substantial assistance to the United States in the prosecutions of a then-sitting US senator and several state legislators
- Represented a former US cabinet official regarding several inquiries into events during his tenure and related civil litigation
- Represented a defendant charged with criminal violations of US federal campaign finance law
- Represented a defendant in his US. federal plea and sentencing hearings in a case involving false bank records
- Represented an attorney in disciplinary proceedings relating to his use of evidence in a US federal agency proceeding
- Harvard Law School, 2005, J.D.
- University of Virginia, 2002, B.A., with high distinction, Phi Beta Kappa
- District of Columbia
- New York
- Virginia
- US Court of Appeals for the Fourth Circuit
- US District Court for the District of Columbia
- US District Court for the Eastern District of Virginia
- US District Court for the Western District of Virginia
- District of Columbia Court of Appeals
- Supreme Court of Virginia
- Clerkship to Judge Henry Coke Morgan, Jr. of the US District Court for the Eastern District of Virginia (2006 - 2007)

Recognized, Client Choice Award for Investigations-USA, Lexology (2023–2025)
Recognized, Legal 500 EMEA-France: Compliance, Hall of Fame Lawyer (2022–2024)
Member, Steering Committee of the Export Controls & Economic Sanctions Committee of the American Bar Association's Section on International Law (2025)
