All Compliance Week articles in Web Issue – Page 713

  • Blog

    SEC Proposes New Disclosures for Investment Companies

    2015-05-22T09:45:00Z

    The SEC has proposed new rules and forms to modernize reporting for mutual funds, ETFs, and other registered investment companies. A new monthly portfolio reporting requirement, Form N-PORT, would require registered funds, other than money market funds, to provide portfolio-wide and position-level holdings data to the SEC. Details inside.

  • Blog

    Northwestern University Names First Chief Compliance Officer

    2015-05-22T09:30:00Z

    Northwestern University has named Marcia Isaacson as the university's first associate vice president for compliance and chief compliance officer, effective Sept. 1. “The new position was created to ensure that Northwestern coordinates and optimizes compliance activities across the University’s three campuses and large research enterprise,” said Northwestern Provost Daniel Linzer. ...

  • Blog

    J.C. Penney Names New Chief Accounting Officer

    2015-05-22T09:30:00Z

    J.C. Penney has appointed Andrew Drexler as chief accounting officer and controller. He succeeds Dennis Miller who will remain principal accounting officer until that time. Details inside.

  • Blog

    Deloitte and IBM Team to Deliver Next Generation Risk Intelligence

    2015-05-21T15:45:00Z

    Deloitte and IBM this week announced the latest step in their longstanding strategic alliance, creating a transformative series of risk management and regulatory compliance solutions to help financial services firms to more efficiently address their immediate compliance and conduct requirements. Details inside.

  • Blog

    Amgen Appoints New General Counsel

    2015-05-21T14:45:00Z

    Amgen has appointed Jonathan Graham as general counsel and secretary, effective July 13. He will succeed David Scott, who is retiring Aug. 31. Details inside.

  • Blog

    Investcorp Hires CRO for Hedge Funds Business

    2015-05-21T14:30:00Z

    Investcorp, a provider and manager of alternative investment products with approximately $11 billion in assets under management, has named Sunil Gaglani to the firm's hedge funds business in the newly created position of chief risk officer. Details inside.

  • Blog

    Two Members Reappointed to FASB

    2015-05-21T14:15:00Z

    The Board of Trustees of the Financial Accounting Foundation this week reappointed Daryl Buck and R. Harold Schroeder to the Financial Accounting Standards Board. Their new terms are effective July 1, 2015 and end on June 30, 2021. Buck and Schroeder originally were appointed to FASB in 2011, when the ...

  • Blog

    SEC: BHP Billiton Went Too Far on Hospitality

    2015-05-20T13:15:00Z

    Image: The SEC has settled FCPA charges against BHP Billiton for inviting 176 government officials and employees of state-owned enterprises to attend the 2008 Summer Olympic Games at the company’s expense. Andrew Ceresney, head of the SEC’s Enforcement Division, said the invites occurred “while they were in a position to ...

  • Blog

    MasterCard May Face Some Antitrust Issues in the European Union

    2015-05-20T09:30:00Z

    European Union regulators are set to launch an investigation into credit card giant MasterCard after reports emerged about the company’s anti-competitive practices among the 28-nation bloc and its overall fees system. In a statement, MasterCard said it “is working with the European Commission on the issue as part of an ...

  • Resource

    e-Book: Managing Third-Party Risks

    2015-05-20T09:15:00Z Provided by

    In today’s complex business environment, almost every company depends on outside vendors and other third parties to some extent—and often to a great extent. Taming the increasing risk exposure and threats that come with managing third parties can overwhelm compliance officers.This e-Book, produced by Compliance Week in cooperation with ProcessUnity, ...

  • Blog

    Ireland’s Central Bank Hits Western Union with €1.75m in Fines

    2015-05-20T09:15:00Z

    Image: The Central Bank of Ireland levied €1.75m in fines on Western Union in Ireland after the firm failed to implement “robust” anti-money laundering and counter-terrorist financing controls. “The Central Bank action must be viewed in light of the inherent risks in the sector in which this firm operates … ...

  • Blog

    Caldwell: What a Robust Compliance Program Looks Like

    2015-05-19T15:00:00Z

    During a keynote speech at the Compliance Week 2015 conference, Assistant Attorney General Leslie Caldwell provided some insight on what a robust compliance function and strong internal investigations look like. “Overall, our message is really a simple one: we really expect that corporations will take compliance risks as seriously as ...

  • Article

    Is CSR Part of the Compliance Operation?

    2015-05-19T14:45:00Z

    Corporate social responsibility is now big business in Europe. How the compliance function intersects with CSR, however—and what role the compliance officer should play in CSR oversight—is still unclear. In the final part of our series on CSR, we look at how several European companies are trying to embed CSR ...

  • Article

    Dodd-Frank Reform: The Beat Goes On

    2015-05-19T13:45:00Z

    The Dodd-Frank Act may be turning five years old this summer. Fights about Dodd-Frank, on the other hand, feel like they’ve been going on forever. Washington was back at it again last week, proposing various fixes, reforms, and exemptions to all manner of Dodd-Frank, much of it to help large-ish ...

  • Blog

    Ceresney Breaks Down Recent Results of Busy SEC Litigation Docket

    2015-05-19T13:15:00Z

    SEC Director of Enforcement Andrew Ceresney recently provided some detailed updates on the work and recent results of the Enforcement Division’s national litigation program. He characterized the litigation docket as “busy,” with approximately 130 litigators in the national trial unit who are currently litigating more than 550 cases. He stated ...

  • Article

    Hurry-Up Offense on Employee Surveillance

    2015-05-19T12:45:00Z

    Image: Surveillance of employee activity is nothing new in the financial services sector, but the financial crisis, the LIBOR scandal, and other misconduct are driving new demands for smarter, better surveillance. Inside, we look at some of the IT challenges to extracting better intelligence from your data. The goal is ...

  • Article

    Compliance Trends in 2015: More Authority, More IT Uncertainty

    2015-05-19T12:00:00Z

    Good news for compliance officers in existential crisis: A majority of CCOs are now part of the senior management teams at their businesses, and they have more authority than ever before. Those are two among many findings of the 2015 Compliance Trends Report, the annual survey of compliance leaders conducted ...

  • Article

    Doing God’s Work: Compliance Reform at the Vatican Bank

    2015-05-19T11:30:00Z

    Image: The Istituto per le Opere di Religione, commonly known as the Vatican Bank, suffered for decades from poor internal controls and conduct. How has the Holy See tried to recover? Slowly, surely, and with a risk-based approach following international standards. “The expectations are huge in building trust and confidence, ...

  • Article

    PCAOB to Audit Committees: Help Us Help You

    2015-05-19T11:00:00Z

    Image: The PCAOB’s latest guidance to audit committees will help them understand how to push their audit firms to dig deeper into risk. It may also, however, nudge audit committees to undertake risk and audit oversight the PCAOB itself cannot do. “In places like China, the PCAOB cannot inspect, but ...

  • Resource

    In Focus: 2015 Compliance Trends Survey

    2015-05-19T10:30:00Z Provided by

    For the last five years, Compliance Week has published an annual benchmarking survey, asking compliance officers how they work with their peers, what their responsibilities are, what resources they have and much more. This executive summary is the culmination of a much larger effort. We begin every winter, creating a ...