All Compliance Week articles in Web Issue – Page 738

  • Article

    An Insider Look at the EU’s Binding Corporate Rules

    2015-02-24T09:30:00Z

    Companies that move data throughout Europe, or beyond its borders, face a long and exacting list of privacy and security demands. Some companies are choosing to take advantage of Binding Corporate Rules (BCRs), presenting their data compliance framework for approval by data protection authorities. BCRs, despite a lengthy approval process, ...

  • Blog

    Barington Capital Group to Nominate Two Directors to Eastern Board

    2015-02-24T09:30:00Z

    Investment firm Barington Capital Group this week announced its intention to nominate two independent directors to the Eastern Company's board of directors at its 2015 Annual Meeting of Shareholders. "Barington has been deeply disappointed by the performance of the company, which has significantly underperformed its peers and the market as ...

  • Article

    Where Internal Audit Can Help in Cyber-Security

    2015-02-24T09:30:00Z

    Image: With yet another huge data breach hitting Corporate America—add insurance giant Anthem to the Hall of Shame—internal audit departments are trying to pinpoint what expertise they can bring to the company’s cyber-security risk assessment. Plenty, many audit executives say. “There are technical aspects of these projects, but regardless of ...

  • Article

    CW 2015 Conference Preview: Assessing Program Effectiveness

    2015-02-24T08:45:00Z

    Image: Compliance officers are under constant pressure to demonstrate to senior executives, their boards, and regulators that the compliance function works. That means finding ways to measure compliance program effectiveness. To develop those metrics properly, “you have to define your goals,” says Anne Harris, former chief ethics officer of General ...

  • Blog

    Escalation Processes to Avoid Personal CCO Liability

    2015-02-24T08:30:00Z

    Compliance officers have become targets for regulators because of what they (presumably) know and advise about regulatory requirements—including their role in identifying and reporting of violations. Now compliance officers face personal liability even for failure to act, rather than any direct violation. This week, Compliance Week columnist Jose Tabuena explains ...

  • Event

    Anti-Money Laundering and Financial Crimes Conference

    2015-02-24T00:00:00Z

    New York, NYUnited States

  • Blog

    Three New Partners Join Intralinks 'Enterprise Fabric'

    2015-02-23T16:00:00Z

    Intralinks Holdings, a global SaaS provider of secure enterprise content collaboration solutions, this month added three new partners—MobileIron, Okta, and Symantec—to its "Enterprise Fabric" partner ecosystem. Intralinks Enterprise Fabric partners provide a set of capabilities that collectively comprise a integrated suite of technologies. Details inside.

  • Blog

    Clinical Trials Go Digital With Thales and SureClinical

    2015-02-23T15:30:00Z

    Thales, a cryptographic solutions provider, and SureClinical, a provider of cloud-based content management application software and services for health sciences, announced this month that SureClinical is using Thales' nShield hardware security modules to secure its cloud-based digital signing solution. Details inside.

  • Blog

    Novaworks to Provide No-Cost XBRL Data Review

    2015-02-23T15:15:00Z

    With the Securities and Exchange Commission applying increased pressure on publicly traded companies to enforce data-quality standards, Novaworks, a provider of SEC filing software, announced last week it will conduct XBRL no cost, data-quality reviews to ensure companies' annual reports are accurate and error-free. Details inside.

  • Blog

    New Guidance on SEC Waivers, Exemptions in the Works

    2015-02-23T13:30:00Z

    Companies seeking waivers that allow them to retain exemptive relief despite an enforcement action may soon get fresh guidance from the Securities and Exchange Commission on how that increasingly contentious process will work in the future. Speaking at a conference in Washington D.C., Elizabeth Murphy, an associate director for ...

  • Blog

    NY Comptroller: Sweeping Compliance Overhaul in the Works

    2015-02-23T12:15:00Z

    Image: The New York Comptroller’s Bureau of Asset Management is implementing sweeping compliance, ethics, and audit reforms for how it oversees the assets of the five city pension funds. These reforms will “significantly enhance accountability, transparency and ethics in my office,” said Comptroller Scott Stringer. Details inside.

  • Blog

    SEC Commissioners Vent on Administrative Proceedings, Disclosures

    2015-02-23T11:00:00Z

    Speaking recently at the Practicing Law Foundation’s “SEC Speaks” forum, various SEC commissioners detailed their priorities for 2015. Hot topics included the Commission’s reliance on in-house administrative proceedings, a disclosure regime that hasn’t kept pace with technological advancements, and the challenge of creating a more diverse workforce at the Commission.

  • Blog

    South Africa Fines Deutsche Bank $857,000 for Lax AML Controls

    2015-02-23T10:45:00Z

    South Africa’s banking regulator last week fined Deutsche Bank $857,000 for failing to implement appropriate anti-money laundering controls. Deutsche Bank said in a statement that it acknowledged the inconsistencies and had “cooperated fully in remediating the identified shortcomings within agreed timeframes.” Details inside.

  • Blog

    Eli Lilly: Justice Department Drops FCPA Probe

    2015-02-23T09:45:00Z

    Eli Lilly announced in a regulatory filing last week that the Department of Justice has closed its Foreign Corrupt Practices Act investigation without bringing any charges. The parallel investigation followed a $29.4 million civil settlement that the drug company reached with the Securities and Exchange Commission in 2012 for FCPA ...

  • Event

    The Soul of Leadership

    2015-02-23T00:00:00Z

    Chicago, ILUnited States

  • Event

    Latin America Compliance Conference

    2015-02-23T00:00:00Z

    Mexico CityMexico

  • Blog

    SEC Commish Wants Clarity on SEC Enforcement Policy

    2015-02-21T12:15:00Z

    Image: SEC Commissioner Michael Piwowar is calling on the agency to create guidelines for when it will bring enforcement actions as administrative proceedings and when it will pursue cases in federal court. Given the SEC’s 100 percent success rate in administrative proceedings, he said in a speech, clarity on enforcement ...

  • Blog

    General Motors Names New General Counsel

    2015-02-20T13:45:00Z

    General Motors has appointed Craig Glidden as general counsel, effective March 1. Glidden will lead a team of staff attorneys who are integrated into all of GM’s regional and functional teams in more than 30 countries. Details inside.

  • Blog

    Accretive Health Names Chief Compliance Officer

    2015-02-20T13:45:00Z

    Accretive Health has named Corey Perman as chief compliance officer. Perman brings to his new position almost 20 years of legal, healthcare, and compliance experience working with integrated delivery networks, a national law firm, and several government agencies. More inside.

  • Blog

    Decades Later, the Law of Insider Trading Remains Elusive and Undefined

    2015-02-20T13:30:00Z

    Over a decade ago, in August 2004, I watched the high-profile Martha Stewart insider trading matter play out as federal prosecutors decided not to charge Stewart with the crime of insider trading, the SEC did pursue a civil lawsuit against her, and the rest of the U.S. seemed to scratch ...