All Compliance Week articles in Web Issue – Page 720

  • Article

    Volcker Compliance Deadline Creeps Up

    2015-04-28T09:00:00Z

    Image: For all the political controversy still surrounding the Volcker Rule, its biggest compliance obligation—implementing new controls and training to root out forbidden trading—has a looming deadline in July. “You’ve got to build an infrastructure,” says David Freeman of the law firm Arnold & Porter. “That’s a bigger effort than ...

  • Blog

    SEC Ponders Tension Over Management Review Controls

    2015-04-27T14:00:00Z

    Image: Amid continued tension over what it takes to satisfy auditors and regulators with respect to management review controls, the SEC is pondering whether some kind of new guidance might be in order. Deputy Chief Accountant Brian Croteau said recently, “It’s not an area that seems to be improving. So ...

  • Blog

    Walmart Touts Compliance Improvements in New Report

    2015-04-27T13:30:00Z

    In its second annual “Global Compliance Program Report,” Walmart has detailed the compliance enhancements it has made in recent months. Among them: improved compliance training, greater supply chain scrutiny, $40 million invested in new technology, and centralized oversight of license and permit applications. More inside.

  • Blog

    TI Report Urges Southeast Asia to Make Anti-Corruption a Priority

    2015-04-27T10:45:00Z

    Leaders of the Association of Southeast Asian Nations are not doing nearly enough to address corruption at the national level, warns a new report by Transparency International. In its report, TI recommended that ASEAN form an ASEAN Integrity Community to fast track anti-corruption policy measures and further recommended four targeted ...

  • Blog

    Struggles on IT Strategy for Compliance

    2015-04-27T10:00:00Z

    Image: Compliance officers struggle with IT; that’s not news. This week, however, we have new data that might illuminate why so many compliance departments can’t implement an IT strategy to meet their needs. Inside, Compliance Week editor Matt Kelly looks at which IT typically goes to what compliance tasks, and ...

  • Blog

    UTC Gets Second Subpoena in Bribery Probe

    2015-04-27T10:00:00Z

    United Technologies Corp. has disclosed that it received a second subpoena from the SEC for potential violations of anti-bribery laws. UTC said the SEC issued the subpoena “seeking documents related to internal allegations of alleged violations of anti-bribery laws from UTC’s aerospace and commercial businesses, including but not limited ...

  • Blog

    Lincoln Electric Names Chief Compliance Officer

    2015-04-27T09:15:00Z

    The Lincoln Electric Company, a subsidiary of Lincoln Electric Holdings, has promoted Anthony Battle to chief compliance officer, effective immediately.  This role is in addition to Battle's position as senior vice president of internal audit. Details inside.

  • Event

    Merger Week: Creating Value Through Strategic Acquisitions and Alliances

    2015-04-26T07:00:00Z 2015-05-01T21:00:00Z

    Chicago, ILUnited States

  • Event

    Advanced Compliance Education Summit (ACES)

    2015-04-26T07:00:00Z 2015-04-28T21:00:00Z

    New OrleansNew Orleans, LA 34444United States

  • Blog

    FASB Proposal May Foreshadow Changes to Cash Flow Rules

    2015-04-24T16:30:00Z

    A proposal to change the presentation of financial information for not-for-profit entities, especially cash-flow classifications, could be a preview of what public companies might face down the line. The proposal would require entities to classify cash flows in ways more consistent with classifications in the statement of activities. More inside.

  • Blog

    ArcBest Names Controller, Chief Accounting Officer

    2015-04-24T11:30:00Z

    ArcBest has named Traci Sowersby as controller and chief accounting officer, effective April 27. She will report to Chief Financial Officer David Cobb. Details inside.

  • Blog

    SEC Eyes ‘Pay for Performance’ Rules Next Week

    2015-04-24T10:45:00Z

    The SEC will hold an open meeting April 29 to take action on pay-for-performance disclosure rules required by the Dodd-Frank Act. The Commission will consider rules stemming from Section 953 of Dodd-Frank, requiring public companies to disclose the relationship between executive pay and incentives with the financial performance of the ...

  • Blog

    Judge Rakoff's New Securities Law Focus: Re-Defining Insider Trading

    2015-04-24T10:30:00Z

    Image: Having already left his mark on how the SEC handles deferred-prosecution agreements and other settlements, U.S. Judge Jed Rakoff now appears to be focused on another key securities enforcement issue: the definition of insider trading. More inside.

  • Resource

    Security, Mobility, and Social Media: Minimizing Risk in the Era of Sharing

    2015-04-23T15:45:00Z Provided by

    “Communications surrounding security need to be planned and continuous, and they need to be combined with appropriate training and governance.”– Partha Mukherjee, Chief Information Officer, Church’s Chicken. In today’s ever-evolving landscape, security challenges are becoming more complex. Organizations are faced with increasing risks that range from dealing with the changing ...

  • Blog

    loanDepot Names Chief Risk Officer

    2015-04-23T13:00:00Z

    loanDepot, a consumer lender company, has named Brian Biglin as chief risk officer. He will join the company's executive team this month. Details inside.

  • Blog

    Libor Scandal Costs Deutsche Bank $2.5 Billion in Penalties

    2015-04-23T12:45:00Z

    Deutsche Bank and its subsidiary, DB Group Services (U.K.), pleaded guilty to wire fraud for their role in manipulating the London Interbank Offered Rate and agreed to pay $775 million in criminal penalties to the Department of Justice, bringing the total amount of penalties against the bank to $2.5 billion. ...

  • Blog

    SDNY Names New Chief, Deputy Chief of Securities Fraud Task Force

    2015-04-23T09:45:00Z

    The U.S. Attorney's Office for the Southern District of New York has named Katherine Goldstein as Chief and Telemachus Kasulis as Deputy Chief of that office's Securities and Commodities Fraud Task Force.

  • Blog

    Inland Securities Corporation Names Chief Compliance Officer

    2015-04-22T14:30:00Z

    Inland Securities Corporation, the managing broker dealer for Inland Real Estate Investment Corporation, has named Suzanne Bond as chief compliance officer. Details inside.

  • Resource

    White Paper: Building Better Vendor Risk Assessments

    2015-04-22T12:30:00Z Provided by

    Increase the Quality and Efficiency of Your Vendor Risk Management Program.Download our informative new white paper, Building Better Assessments, and learn how organizations like yours can improve third-party risk assessments while balancing regulatory pressures, business requirements, and budget constraints.Key topics include:Quality - How did you perform against your objectives during ...

  • Blog

    SEC Issues Whistleblower Award to Compliance Officer

    2015-04-22T12:00:00Z

    Image: The SEC awarded more than $1 million to a compliance officer who provided information that helped in an enforcement action against the whistleblower’s company. “This compliance officer reported misconduct after responsible management at the entity became aware of potentially impending harm to investors and failed to take steps to ...