All Compliance Week articles in Web Issue – Page 34
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Webcast
CPE Webcast: Extra guac, extra insights: How to engage learners on a Chipotle burrito budget
When Chipotle began to strengthen their E&C program in 2020, they were met with a lot of resistance to traditional compliance training.
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Premium
Chinese regulators impose six-month ban, $62M fine on PwC’s China unit
Chinese authorities banned PwC’s Chinese unit from performing audits in the country for six months, labeling the subsidiary’s flawed audit work as complicit in the failure of giant property developer Evergrande.
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Premium
Budweiser Budvar registration failures show ESG impacts of U.K. noncompliance
Most businesses think more about their products than what they come wrapped in, but a recent U.K. penalty against Czech brewery Budweiser Budvar indicates packaging is an increasingly important element in sustainability regulations.
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News Brief
SEC charges three Medly execs with fraud for investment scheme
Former executives of Medly, an online pharmacy that is now shuttered, have been charged by the Securities and Exchange Commission with defrauding investors.
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News Brief
Wells Fargo agrees with OCC to shore up BSA/AML, sanctions program deficiencies
The Treasury Department’s Office of the Comptroller of the Currency ordered Wells Fargo to make “comprehensive corrective actions” to its Bank Secrecy Act/anti-money laundering and U.S. sanctions programs, along with receive permission from the OCC to offer new products and services or enter new geographic markets with “medium or high” ...
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News Brief
CFPB orders TD Bank to pay $28M for sending false info to credit agencies
TD Bank has been ordered to pay $27.7 million and implement compliance measures, for providing inaccurate, negative credit information to credit agencies about tens of thousands of its customers and taking too long to fix the errors, the Consumer Financial Protection Bureau said.
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Premium
An Amsterdam discussion on increased role of CCOs
Compliance Week and its sister organization the International Compliance Association will bring together more than 200 GRC professionals for Compliance Week Europe Oct. 15-16 in Amsterdam to discuss how they’re making sense of the constantly changing regulatory landscape.
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Premium
Norfolk Southern fires CEO, CLO for affair that violated company policies
Norfolk Southern Corp., the railroad still cleaning up the environmental and financial damages caused when one of its trains derailed in a small Ohio town, has fired its top executive and chief legal officer after concluding they had an affair that violated company policies.
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News Brief
FINRA dings JPMorgan Securities $190K over registration, supervision failures
The Financial Industry Regulatory Authority fined JPMorgan Securities $190,000 for unregistered investment banking activities and not having a supervisory system reasonably designed to achieve compliance with FINRA registration requirements.
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Blog
Sabert adds sustainability chief
Sabert Corporation, a leading global manufacturer of innovative and sustainable food packaging solutions, announced the appointment of Richa Desai as chief sustainability and strategy officer.
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Webcast
CPE Webcast: The acronyms that changed the finance industry: from AML and BSA to KYC and BaaS
In the ever-evolving landscape of finance, governance, risk, and compliance (GRC) have emerged as critical pillars that underpin the stability and growth of financial institutions.
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Blog
Figure Technology Solutions names first CLO
Figure Technology Solutions announced the appointment of Ronald Chillemi as its first chief legal officer and corporate secretary.
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Blog
MLC Life Insurance names CRO as customer, strategy chief
MLC Life Insurance appointed its Chief Risk Officer Jane McGovern as chief customer and strategy officer.
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Blog
Mashreq Egypt names CRO
Mashreq Egypt announced the appointment of Amr Hassan as chief risk officer.
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Blog
Everlaw welcomes chief legal officer
Everlaw, a cloud-native ediscovery solution, announced the appointment of Gloria Lee to the position of chief legal officer.
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Blog
TriNet announces chief legal officer
Human resources solutions provider TriNet announced the appointment of Sidney Majalya as senior vice president, chief legal officer and secretary, effective Sep. 16.
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Blog
Zurich Australia appoints CRO
Zurich Financial Services Australia has appointed David Wainwright as the new chief risk officer for Australia and New Zealand, effective Jan. 6.
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Blog
Aircastle appoints chief risk officer
Aircastle Limited, which acquires, leases and sells commercial jet aircraft to airlines, appointed David Odlum as chief risk officer, effective Dec. 1.
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News Brief
Barr speech signals Fed to rework capital rules after pressure from industry
Facing intense pressure from the banking industry, the Federal Reserve Board may scale back two controversial rule proposals aimed at reducing risks of bank failures in the event of a market downturn.