Geoffrey M. Goodale


T: (202) 261-6644

Mobile: (703) 618-6640

Washington, D.C. Office


Geoffrey M. Goodale

Practice Areas:

  • Compliance Counseling
  • Cyber-Risk, Privacy and Data Security
  • Intellectual Property
  • International
  • Regulatory Law & Government Contracts
  • Technology
  • White Collar Litigation & Investigations

Bar Admissions:

  • District of Columbia
  • Virginia
  • U.S. Court of International Trade
  • U.S. District Court for the Eastern District of Virginia
  • U.S. District Court for the District of Columbia
  • U.S. Court of Appeals for the Federal Circuit
  • U.S. Court of Appeals for the Fourth Circuit
  • U.S. Supreme Court


  • The George Washington University Law School, J.D., 2001
  • The College of William and Mary, B.A., Government (with honors) and Russian Studies
  • The College of William and Mary, M.A., Government

Large Law Firm Experience:

  • Foley & Lardner
  • Pillsbury
  • Squire Sanders (now Squire Patton Boggs)

For over 15 years, Geoffrey M. Goodale has assisted companies of all sizes in many industries develop and implement strategies to accomplish their international business goals. His practice focuses on export controls, economic sanctions, import compliance, trade litigation, international intellectual property rights protection, foreign direct investment, cybersecurity, and compliance counseling to government contractors.

Export Controls and Economic Sanctions

Mr. Goodale counsels companies on a wide range of issues relating to the Export Administration Regulations (EAR) that are administered by the U.S. Department of Commerce’s Bureau of Industry and Security (BIS), the International Traffic in Arms Regulations (ITAR) that are enforced by the U.S. Department of State’s Directorate of Defense Trade Controls (DDTC), and the economic sanctions laws and regulations that are administered by the U.S. Department of the Treasury’s Office of Foreign Assets Control (OFAC). In addition to providing training on these regulations, designing compliance manuals, and assisting clients with all aspects of the export license and agreement approvals processes, he conducts internal reviews and audits to assess compliance in these areas and helps clients develop and implement effective corrective action strategies, including the drafting and submission of voluntary disclosures when warranted.

Import Compliance

Mr. Goodale advises clients on all aspects of compliance with U.S. import laws and regulations, including those relating to determining the proper classification, valuation, and country of origin of merchandise.  He regularly represents clients in matters involving U.S. Customs and Border Protection (CBP), including in the preparation and submission of ruling requests, protests, petitions for relief, and prior disclosures to CBP.  In addition,  he assists clients in preparing for and undergoing CBP audits (e.g., Focused Assessments).  He also assists clients in developing duty savings strategies through the effective use of duty drawback, foreign trade zones and subzones, preferential duty programs (e.g., GSP, AGOA, and CBTPA), and free trade agreements, including the North American Free Trade Agreement (NAFTA) and the Dominican Republic-Central America-United States Free Trade Agreement (CAFTA-DR). 

Trade Litigation and Protection of Intellectual Property Rights

Mr. Goodale’s experience includes representing U.S. and non-U.S. companies in all manner of antidumping duty (AD) and countervailing duty (CVD) cases before the U.S. Department of Commerce (DOC) and the U.S. International Trade Commission (ITC), including investigations, administrative reviews, scope ruling requests, and anti-circumvention proceedings, as well as in appeals of certain such DOC and ITC decisions to the U.S. Court of International Trade (CIT) and the U.S. Court of Appeals for the Federal Circuit (CAFC).  He also has represented complainants and respondents in trade-related intellectual property rights cases that have been filed with the ITC under Section 337 of the Tariff Act of 1930, as amended, and appeals of certain such ITC decisions to the CAFC.  In addition, he assists clients in developing global strategies to protect their patents, trade secrets, trademarks, and copyrights.

Foreign Direct Investment

Mr. Goodale possesses extensive experience in advising clients on international mergers and acquisitions (M&A).  With respect to acquisitions by foreign entities of U.S. companies, this experience includes, among other things:  (1) taking actions necessary to clear proposed deals through the Committee on Foreign Investment in the United States (CFIUS) when appropriate; (2) filing required submissions with DDTC and/or BIS when export-controlled products and technologies are involved; and (3) structuring transactions so as to mitigate foreign ownership, control or influence (FOCI) in a way that is acceptable to the Defense Security Service (DSS) in order for the U.S. company to maintain its Facility Security Clearance (FCL) in order to be able to continue to perform work on classified contracts for the U.S. Government.

Compliance Counseling and Investigations

Mr. Goodale also provides compliance counseling to government contractors on a wide range of matters covered by the Federal Acquisition Regulation (FAR) and the Defense Federal Acquisition Regulation Supplement (DFARS).  He regularly advises clients on issues relating to cybersecurity, data rights, IP protection, supply chain management, sourcing issues, and domestic content requirements (e.g., Buy American Act, Berry Amendment, and Trade Agreements Act).   In addition, he provides counseling to clients relating to the Foreign Corrupt Practices Act (FCPA), and he conducts internal investigations to ensure that clients comply with the requirements of the FCPA and other anti-bribery laws, such as the UK Bribery Act.

Appointments, Affiliations, and Thought Leadership Activities

By appointment of the Chief Judge of the CIT, Mr. Goodale is a member of the CIT Advisory Committee on Rules. He also serves as Co-Chair of the ABA Section of International Law’s Export Controls and Economic Sanctions Committee, Chair of the ABA Intellectual Property Law Section’s International Trade Commission Committee, and Chair of the International Trade Commission Subcommittee of the Trade Secret Law Committee of the American Intellectual Property Law Association (AIPLA).  In addition, he has previously served as the Chair of the D.C. Bar’s International Law Section, the Chair of the Virginia State Bar’s International Practice Section, and Co-Chair of the ABA Section of International Law’s Customs Law Committee and International Trade Committee.    Mr. Goodale also is a member of the Customs and International Trade Bar Association (CITBA), the Federal Circuit Bar Association (FCBA), the International Trade Commission Trial Lawyers Association (ITCTLA), and the Society for International Affairs (SIA).

Mr. Goodale speaks regularly on international trade issues at conferences and seminars.  In addition, he is the author of the chapter on the ITAR in the Handbook of Export Controls and Economic Sanctions published by the ABA in 2013 and a co-author of several chapters in the second edition of the ABA’s U.S. Customs: A Practitioner’s Guide to Principles, Processes and Procedures that was published in early 2016.

Recent Presentations

  • Comparing the Efficacy of US, EU, and Canadian Sanctions Against Russia, ABA Section of International Law 2016 Spring Meeting, New York, NY (April 2016)
  • BIS’ Antiboycott Compliance Requirements:  What You Need to Know in 2016, D.C. Bar International Law Section, Washington, DC (March 2016)
  • Developments in Intellectual Property Rights Enforcement at the Border, D.C. Bar Intellectual Property Law Section, Washington, DC (March 2016)
  • Update on U.S. Economic Sanctions and the Office of Foreign Assets Control, D.C. Bar CLE Office, Washington, DC (February 2016)
  • 2015 U.S. Export Controls Year in Review, ABA Section of International Law, Washington, DC (January 2016)
  • Extraterritorial Trade Secret Protection:  Comparing Cases Before the International Trade Commission and Federal Courts, AIPLA Trade Secret Law Summit, Boston, MA (November 2015)
  • NAFTA at 21:  Successes, Controversies, and Lessons Learned, ABA Section of International Law 2015 Fall Meeting, Montreal, Canada (October 2015)
  • Caveat Emptor:  What You Need to Know About International Mergers and Acquisitions, Virginia State Bar 2015 Annual Meeting, Virginia Beach, VA (June 2015)
  • Surviving and Thriving in the Export Control Reform Era, ABA Section of International Law 2015 Spring Meeting, Washington, DC (May 2015)
  • Cuba:  Understanding the New Opportunities and Continuing Restrictions. D.C. Bar International Law Section, Washington, DC (April 2015)
  • Cybersecurity in a Dangerous World:  Key Issues and Strategies for Attorneys and Their Clients, D.C. Bar Law Practice Management Section, Washington, DC (March 2015)
  • U.S. Economic Sanctions and the Office of Foreign Assets Control:  An Introduction, D.C. Bar CLE Office, Washington, DC (February 2015)


  • U.S. Customs:  A Practitioner’s Guide to Principles, Processes, and Procedures (ABA – 2016) [Co-author of Chapters on “Classification” and “Trusted Trader Programs”]
  • Handbook of Export Controls & Economic Sanctions (ABA – 2013) [Author of Chapter on the “International Traffic in Arms Regulations”]
  • “Improvements in US-Cuban Relations Bring Business Opportunities and Challenges”, Virginia Lawyer (February 2016) [Co-Author]
  • “2014 Year in Review:  International Trade”, The International Lawyer (Summer 2015) [Co-Author]
  • “2014 Year in Review:  National Security”, The International Lawyer (Summer 2015) [Co-Author]