Portrait of Jeffrey S. Dunlap

Jeffrey S. Dunlap

Partner | Vice Chair, Litigation Department

PUBLICATIONS

  • “How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
  • “Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
  • Contributor, Employment Discrimination Law (1998, 2001)
  • “Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)

PRESENTATIONS

  • “Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
  • “Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023) 
  • “Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
  • “Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
  • “The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
  • “Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
  • “How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
  • “The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
  • “Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
  • “Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
  • “A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
  • “Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
  • “What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
  • “Restrictive Covenants: How Do Courts View Them?” (November 2012)
  • “Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)

Publications & Presentations

PUBLICATIONS

  • “How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
  • “Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
  • Contributor, Employment Discrimination Law (1998, 2001)
  • “Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)

PRESENTATIONS

  • “Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
  • “Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023) 
  • “Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
  • “Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
  • “The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
  • “Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
  • “How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
  • “The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
  • “Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
  • “Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
  • “A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
  • “Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
  • “What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
  • “Restrictive Covenants: How Do Courts View Them?” (November 2012)
  • “Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)

Publications & Presentations

PUBLICATIONS

  • “How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
  • “Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
  • Contributor, Employment Discrimination Law (1998, 2001)
  • “Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)

PRESENTATIONS

  • “Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
  • “Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023) 
  • “Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
  • “Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
  • “The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
  • “Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
  • “How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
  • “The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
  • “Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
  • “Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
  • “A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
  • “Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
  • “What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
  • “Restrictive Covenants: How Do Courts View Them?” (November 2012)
  • “Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)

Publications & Presentations

PUBLICATIONS

  • “How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
  • “Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
  • Contributor, Employment Discrimination Law (1998, 2001)
  • “Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)

PRESENTATIONS

  • “Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
  • “Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023) 
  • “Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
  • “Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
  • “The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
  • “Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
  • “How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
  • “The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
  • “Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
  • “Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
  • “A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
  • “Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
  • “What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
  • “Restrictive Covenants: How Do Courts View Them?” (November 2012)
  • “Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)

Publications & Presentations