John Washlick

Buchanan Ingersoll & Rooney, PC

A Shareholder with Buchanan Ingersoll & Rooney, PC, John Washlick focuses his practice on health care transactions and corporate compliance. He is resident in both the firm’s Philadelphia and Princeton offices. John is co-chair of the firm’s Health Care Industry Team. His clients include hospitals, healthcare systems, physician practices, individual physicians, medical device companies and entrepreneurs and investment-backed entities.

John is a recognized authority on federal income tax issues involving tax-exempt organizations and the Anti-Kickback Statute and the Stark Law. His guidance is often sought as his clients assess various arrangements with physicians, such as clinical joint ventures, co-management arrangements, integrated delivery systems, business joint ventures, physician recruitment, practice acquisitions, employment arrangements, hospital/physician integration planning and exclusive provider agreements. He also advises healthcare industry clients, including entrepreneurs and investment-backed entities on general corporate law and regulatory healthcare related issues, such as the corporate practice of medicine and fee splitting laws. John partners with clients to arrive at strategic, yet practical, solutions to often cutting-edge issues and high-profile matters.

John has experience in structuring, negotiating and documenting a variety of complex business transactions, including mergers and acquisitions, joint operating agreements, joint ventures, clinical co-management agreements, academic and clinical affiliations and contractual relationships among providers and with third-party payors. He advises clients in the formation or acquisition of new entities, the restructuring of existing entities and creation of alliances or other integration initiatives. John assists clients in responding to industry changes resulting from the Affordable Care Act, including the development of integrated provider networks, such as accountable care organizations (ACOs) participating in the Medicare Shared Savings Program and NCQA patient-centered medical homes.

He also assists clients with developing and implementing corporate compliance plans, HIPAA programs and governance restructuring and planning. John speaks nationally and writes frequently on contemporary healthcare topics.

In 2014 John was recognized among the leading health care lawyers in Pennsylvania by international legal research publisher Chambers USA, an honor based on an intensive research process incorporating client feedback. Chambers described John as “well regarded for his tax exemption expertise” and highly praised for his "very analytical and business-minded" approach to healthcare matters, while also gaining client praise for his "great dedication to client service." John has been listed in The Best Lawyers in America® since 2007 in the healthcare law area. He has also been recognized by Pennsylvania Super Lawyers® and has garnered an AV® Preeminent distinction, the highest available mark for professional excellence from Martindale-Hubbell’s® Peer Review Ratings.

John is a former adjunct professor of law at both the Widener University School of Law and the Villanova University School of Law, where he taught federal income tax and healthcare related courses for over 15 years. John speaks and writes on transaction, governance, regulatory and compliance matters, and he has been published in many health care and tax related publications, such as Health Connections, Health Law Digest, the Pennsylvania Bar Association Quarterly, and the New Jersey Law Journal. He is the author of Bloomberg BNA’s Tax Management Portfolio’s “Nonprofit Healthcare Organizations: Federal Income Tax Issues” (3rd Edition at publisher) and “Joint Ventures Involving Tax-Exempt Organizations.”

Prior to joining Buchanan, John co-chaired the Health Care Law Practice Group at Cozen O’Connor and directed the commercial healthcare practice at Morgan, Lewis and Bockius in Philadelphia. Prior to law school, John worked as a certified public accountant for two Big Six accounting firms and as a corporate controller for a publicly traded company.

LL.M. (Taxation) Georgetown University Law Center (1990)
J.D. Southwestern University School of Law (1986)
B.S. University of Rhode Island (1978)

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