All Compliance Week articles in Web Issue – Page 1390
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Blog
Lido appoints general counsel
Wealth management firm Lido Advisors announced the appointment of Debra Achkire as general counsel.
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Blog
Carson Group gets chief legal officer
Financial services firm Carson Group hired Julie Pine as its chief legal officer.
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Blog
Auctane names chief legal officer
Auctane, a global delivery experience company, announced the appointment of Kin Gill as its new chief legal officer.
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Blog
Two Ocean Trust appoints chief risk and compliance officer
Two Ocean Trust, a Wyoming-chartered trust company, announced the appointment of Albert Forkner as its new chief risk and compliance officer.
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PremiumShinhan Bank enforcements a lesson in not prioritizing compliance
The recent $25 million in combined penalties levied against South Korean-based Shinhan Bank by three U.S. regulators was the culmination of the bank’s failure over an eight-year period to timely correct deficiencies with its anti-money laundering and Bank Secrecy Act processes.
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News BriefMGM discloses $100M hit from cyberattack
MGM Resorts International said it expects to take a $100 million hit as part of the fallout of a cyberattack that has most significantly impacted its Las Vegas operations.
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PremiumOCC examiners to focus 2024 attention on risks that led to bank failures
Bank examiners from the Office of the Comptroller of the Currency are focusing their supervision attention on how banks manage risks that brought down three mid-sized financial institutions earlier this year.
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PodcastDigital Transformation of Compliance podcast: FedEx CCO Justin Ross
In the debut episode of the Digital Transformation of Compliance podcast series, Justin Ross, chief compliance officer at FedEx, speaks to specific areas in which the shipping giant has digitized and automated parts of its compliance function.
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News BriefHSBC unit fined $2M by FINRA over long-running disclosure lapses
HSBC Securities (USA) agreed to pay $2 million as part of a settlement with the Financial Industry Regulatory Authority addressing alleged inaccurate disclosures related to conflicts of interest.
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News BriefSEC adopts shorter reporting deadlines for beneficial ownership
The Securities and Exchange Commission finalized its rule proposal to cut in half the timeline allowed for market participants to file initial beneficial ownership information with the agency.
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PremiumU.K. financial regs pressure firms to step up D&I considerations
The U.K.’s Financial Conduct Authority and Prudential Regulation Authority set out proposals to ensure firms treat nonfinancial misconduct, such as bullying, racist behavior, and sexual harassment, as strictly as other regulatory offenses.
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News BriefCompliance cost concerns raised as California enacts climate disclosure laws
The governor of California signed off on a pair of bills containing requirements for large businesses operating in the state to make disclosures regarding their climate-related risks and impacts, though not without mentioning work to be done on the compliance ramifications associated with each law.
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News BriefWilmington Trust to pay $1.3M over fiduciary duty lapses
Wilmington Trust Investment Management agreed to pay more than $1.3 million to settle charges by the Securities and Exchange Commission it failed to disclose conflicts of interest and breached its fiduciary duty to clients.
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News BriefFCA censures London Capital & Finance over misleading promos
Insolvent credit broker London Capital & Finance dodged a “substantial financial penalty” from the U.K. Financial Conduct Authority regarding promotions it used to market minibonds to investors.
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News BriefCardiac Imaging, CEO to pay $85M in DOJ false claims case
Cardiac Imaging and its chief executive agreed to pay a total of more than $85 million to settle charges levied by the Department of Justice addressing alleged violations of the False Claims Act regarding unlawful kickbacks.
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PremiumExpert: How data hoarding increases businesses’ cyber risks
Holding on to data for longer than necessary creates vulnerabilities for businesses by giving cyberattackers more avenues to access an organization’s computer systems.
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Blog
AG Twin Brook Capital Income Fund names interim CCO
The board of AG Twin Brook Capital Income Fund, a Delaware-based statutory trust, appointed Jenny Neslin as interim chief compliance officer.
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Blog
Charter Communications announces general counsel
Charter Communications announced the appointment of Jamal Haughton as executive vice president, general counsel and corporate secretary.
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Blog
Integral Ad Science names new chief legal officer
Integral Ad Science, a global media measurement and optimization platform, announced the appointment of Yossi Almani as chief legal officer.
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Blog
Deutsche Pfandbriefbank appoints Deutsche Bank risk chief as CEO
Deutsche Pfandbriefbank AG appointed Kay Wolf as its new chief executive officer. Wolf currently serves Deutsche Bank as chief risk officer for the private bank.


