All Compliance Week articles in Web Issue – Page 693

  • Podcast

    Podcast: Why Do So Many Companies Struggle with PCI Compliance?

    2015-08-07T13:15:00Z

    The Verizon 2015 PCI Report from earlier this year found that one of the most prevalent causes of compliance breakdowns with the Payment Card Industry Data Security Standard, and a cause of breach incidents is difficulty with network firewall policy management. In our latest podcast, we talk to Jody Brazil, ...

  • Blog

    Deadline Nears to Weigh in on New Operating Activities Presentation

    2015-08-07T08:45:00Z

    Image: FASB has issued three sets of frequently asked questions about its proposal to alter the presentation of financial statements for not-for-profits. The proposal would “dramatically change” several areas of reporting, especially around operating activities, says Beth Paul, a partner with PwC. “Given FASB has similar projects on the agenda ...

  • Blog

    The End: Prosecutors Wrap Up Case Against Final Madoff Defendant

    2015-08-06T11:15:00Z

    Yesterday, over six years after the criminal case began in the Bernard Madoff Ponzi scheme case, the Madoff firm's long-time controller, Irwin Lipkin, was sentenced to six months in prison. Lipkin is the 15th -- and final -- defendant to be prosecuted in the Madoff case.

  • Blog

    AICPA Moves Closer to Audit Data Standards

    2015-08-05T16:00:00Z

    Image: The AICPA has finalized two audit data standards for sub-ledgers, focused on order to cash and procure to pay. Companies that voluntarily adopt such standards, which provide a framework covering data fields and files commonly requested by auditors, could find the work to fulfill auditors’ file requests trimmed from ...

  • Blog

    SEC Sets Swap Dealer Registrations, 'Bad Actor' Waiver Battle Looms

    2015-08-05T16:00:00Z

    The easy part: adopting new rules and a process for the registration of security-based swap dealers and major security-based swap participants. More controversial, is a new proposal, announced by the Securities and Exchange Commission on Wednesday, to give swap dealers the ability to do business with individuals and firms convicted ...

  • Blog

    IFAM Capital Names John Lauer CCO, COO

    2015-08-05T14:45:00Z

    IFAM Capital, a wealth management firm, has announced the appointment of  John Lauer has been as its new chief operating officer and chief compliance officer.

  • Blog

    Bartlett Named Managing Partner for EY’s Honolulu Office

    2015-08-05T14:45:00Z

    Jeff Bartlett has been named the managing partner for EY’s Honolulu office. Bartlett will be responsible for continuing to grow the practice, managing resources and overseeing client service in the Hawaii market.

  • Blog

    ACADIA Pharmaceuticals Names New CCO

    2015-08-05T14:45:00Z

    ACADIA Pharmaceuticals, a biopharmaceutical company based in San Diego, has named Ryan Brown as a vice president and chief compliance officer. Brown will be responsible for developing, implementing, and managing the company’s corporate compliance program to support the planned commercialization of a treatment for psychosis associated with Parkinson’s disease.

  • Blog

    SEC Adopts Divisive Pay Ratio Rule

    2015-08-05T14:15:00Z

    The Securities and Exchange Commission’s pay ratio rule is now final, approved by a 3-2 vote on Wednesday. The rule requires a comparison of CEO pay to the compensation of the median employee. Concessions to corporate concerns include the ability to exclude up to 5 percent of non-U.S. employees when ...

  • Blog

    SEC Confirms Expansive View on Whistleblower Protections

    2015-08-05T11:45:00Z

    The SEC has published fresh guidance on who qualifies for whistleblower protections under the Dodd-Frank Act, essentially confirming the view that a person is not required to report misconduct to the SEC’s Office of the Whistleblower to qualify for the expanded anti-retaliation protections under the law. Compliance officers should welcome ...

  • Resource

    Insider Threat Spotlight Report

    2015-08-05T10:45:00Z Provided by

    Get comprehensive survey findings from more than 500 cyber-security professionals, all offering unique insights into the state of insider threats today, as well as the best solutions to keep your network protected. Find out how your peers can help you:Understand the five growing trends for insider threatsChoose the right security ...

  • Blog

    Report: U.K. Regulator’s Victory in the Libor Scandal

    2015-08-05T10:30:00Z

    Image: Tom Hayes, once a “star trader” at UBS and Citigroup and the first to stand trial in the Libor scandal, has been charged with eight counts of conspiracy to manipulate Libor and will serve 14 years in prison. This case serves as a major turning point for the U.K. ...

  • Blog

    Outgoing SEC Commissioner Gallagher Takes One Last Shot at Dodd-Frank

    2015-08-05T10:15:00Z

    In what was likely his last formal speech as an SEC commissioner, Commissioner Dan Gallagher invoked into his inner Stuart Smalley to take aim one last time at his favorite target, the Dodd-Frank Act.

  • Blog

    Nordea Bank Tackles AML Compliance Amid Hefty Fine

    2015-08-05T10:15:00Z

    Nordea Bank AB, a major financial institution for the Nordic region, is re-establishing its anti-money laundering program to correct flaws in its processes that resulted in the company paying up to $5.9 million in fines. This is not the first time Nordea has been put in the spotlight for poor ...

  • Blog

    Behind China’s Regulatory Disarray

    2015-08-05T08:00:00Z

    Image: More informed people than me can, and have, painted crisp pictures of the regulatory chaos currently unfolding in China. The latest is an excellent article in the Wall Street Journal today, “China’s Response to Stock Rout Exposes Disarray,” that is well worth your time if you do business there.

  • Article

    Refresher Course on Discipline of Good Investigations

    2015-08-04T16:45:00Z

    Image: The damage wrought by inept internal investigations can go well beyond wasted time and money; they can cause civil litigation, enforcement risk, and bad publicity. This week we have a refresher on principles for good internal investigations, something every compliance officer must know how to do well. “Ninety percent ...

  • Article

    Small-Company Rules Inch Forward

    2015-08-04T15:45:00Z

    Congress (and SEC commissioners) routinely complains that the SEC is so focused on churning out overdue rules for compliance with the Dodd-Frank Act, it has neglected to churn out overdue rules on capital formation required under the JOBS Act. In truth, the SEC is likely to move forward with what ...

  • Article

    Squeezed: Banks Have No Easy Path on De-Risking

    2015-08-04T14:45:00Z

    Image: Money service businesses, bitcoin startups, marijuana shops; the population of high-risk customers in the banking world is surging. Regulators have sent conflicting messages about wholesale de-risking of certain sectors, and that can force painful questions about how to build effective, and extensive, due diligence programs. “Regulators are talking from ...

  • Article

    Auditing Anti-Corruption Efforts: Best Practices Take Shape

    2015-08-04T14:30:00Z

    Image: More anti-corruption efforts by compliance departments means more auditing of those programs by internal audit, and a vanguard of businesses (many of them, admittedly, stung by misconduct violations in the past) are pioneering better auditing techniques on that point. Tom O’Reilly, director of internal audit at Analog Devices, says ...

  • Article

    The Keys to Better Access Control Systems

    2015-08-04T14:30:00Z

    Image: Gone are the days when “access control” meant locking your door or filing cabinet. Now compliance, IT, and audit teams must collaborate on controls to access networks rather than physical stores of information. Inside, we look at three best practices to design strong access control and at how to ...