All Compliance Week articles in Web Issue – Page 272
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Article
UBS chief facing investigation in ING money laundering case
A Dutch court has ordered a criminal investigation into UBS CEO Ralph Hamers for his role in the ING money laundering scandal that occurred during his tenure as the latter financial institution’s leader.
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Resource
White paper: ASC 842 Lease Accounting Standard Handbook
Even though your deadline for complying may have moved out, it is time to start getting your organization ready to meet the new ASC 842 compliance standard for private organizations.
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Article
SEC enforcement head Avakian to step down by year’s end
Stephanie Avakian, who led the Division of Enforcement at the Securities and Exchange Commission for the past four years, announced she will leave at the end of the year.
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Article
Five challenges for European CCOs heading into 2021
Many of the problems European compliance officers faced in 2020 will remain in place going into the new year, but new risks and new regulations will also present new challenges.
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Video
Video: Compliance pros, cons included in Congress defense spending bill
Beneficial ownership provisions contained in Congress’ defense spending bill should go a long way in the fight against money laundering, but holes in the bill’s proposed whistleblower program are open for criticism, says Aaron Nicodemus.
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Article
CFTC Chairman Tarbert to step down early next year
Heath Tarbert, chairman and chief executive of the Commodity Futures Trading Commission, will step down from his post early next year while remaining on as one of the agency’s commissioners.
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Article
SEC accounting office acknowledges challenging year for auditors
Among other things, the SEC’s chief accountant discussed activities relating to public company financial reporting, accounting and auditing policy updates, and financial reporting considerations related to COVID-19 at a conference this week.
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Article
GE settles SEC accounting probe for $200M
General Electric agreed to pay $200 million to settle charges brought by the Securities and Exchange Commission regarding a series of accounting violations at its power and insurance businesses.
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Article
SEC general counsel to depart
The Securities and Exchange Commission announced Robert Stebbins will conclude his tenure as general counsel in early January, after serving over 3 1/2 years as the agency’s chief legal officer.
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Article
Hershey general counsel to depart
The Hershey Company announced Damien Atkins, senior vice president, general counsel and corporate secretary, will be resigning due to family illness, effective Jan. 31, 2021.
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Article
London Stock Exchange adds ex-Deutsche exec as risk chief
The London Stock Exchange Group announced the addition of former Deutsche Bank executive Balbir Bakhshi as chief risk officer.
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Article
Cox tabs general counsel
Cox Communications has promoted Joiava Philpott to senior vice president of law and policy and general counsel.
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Article
VEON promotes group chief compliance officer
Netherlands-based communications provider VEON announced the promotion of Joop Brakenhoff to the newly established position of group chief internal audit & compliance officer.
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Article
Santander Consumer USA appoints chief risk officer
Santander Consumer USA Holdings has named Ramamurthy Lakshmana Prasad as chief risk officer, succeeding Joshua Baer, who will serve as head of pricing and strategy.
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Article
International Money Express adds CCO, general counsel
International Money Express, a money remittance services company, announced the appointment of Ernesto Luciano as the company’s new general counsel and chief compliance officer.
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Article
Bombardier appoints general counsel
Canadian transportation manufacturer Bombardier announced the appointment of Annie Torkia Lagacé as senior vice president, general counsel and corporate secretary.
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Article
COFCO International names chief risk officer
COFCO International, a global agriculture supply chain, has appointed Khaja Qureshi as chief risk officer.
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Article
Congress approves enhanced protections for antitrust whistleblowers
After four tries, Congress has finally passed a bill prohibiting employers from retaliating against whistleblowers who report violations of antitrust laws to the Department of Justice.
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Article
Intercontinental Exchange subsidiary fined $8M for inaccurate securities quotes
A New York-based subsidiary of the Intercontinental Exchange has agreed to pay $8 million as part of a settlement with the SEC for compliance deficiencies related to its provision of securities quotes to subscribers.
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Article
Companies should create ‘Ombuds’ function to meet EU whistleblower rules
The creation of an independent, competent “Ombuds” function could be used by companies to respond to certain key requirements in the EU’s Whistleblower Protection Directive.