Appointment Blogs | Compliance Week – Page 286

  • Blog

    Mead Johnson Provides Status on FCPA Probe

    2015-01-30T15:00:00Z

    Mead Johnson Nutrition disclosed this week in an earnings call that the government’s investigation into possible violations of the Foreign Corrupt Practices Act continues to progress, but with no end in sight. “At this time, we can’t predict how or when the matter will be resolved,” said Chief Executive Officer ...

  • Blog

    Bottomline Acquires Intellinx; Offers Cyber Risk Management Solutions

    2015-01-30T13:45:00Z

    Bottomline Technologies, a provider of cloud-based payment, invoice, and digital banking solutions, is now offering comprehensive cyber fraud and risk management solutions following its acquisition of Israel-based Intellinx. Details inside.

  • Blog

    New Promotions at Haskell & White

    2015-01-30T13:00:00Z

    Haskell & White, an accounting, auditing and tax consulting firm, has promoted two individuals in its Audit and Business Advisory Services Department. Details inside.

  • Blog

    Cobalt: SEC Drops Foreign Bribery Probe

    2015-01-30T11:45:00Z

    Cobalt International Energy announced yesterday that it has received a termination letter from the Securities and Exchange Commission, stating that the agency does not intend to recommend any enforcement action after looking into potential violations of federal securities laws related to Cobalt's operations in Angola. “This formally concludes the SEC’s ...

  • Blog

    Danske Appoints New Chief Risk Officer

    2015-01-30T10:00:00Z

    Denmark-based Danske Bank has appointed Gilbert Kohnke as chief risk officer. He assumes the role from Robert Endersby,  who resigned from the company last year, along with several other executives. Details inside.

  • Blog

    Consequences of Insider-Trading Decision Continue

    2015-01-30T09:45:00Z

    The appellate court decision in U.S. v. Newman has turned Trent Martin from an extradited, admitted insider trader awaiting a sentence of up to several years in prison into a free man. He may not be the last.

  • Blog

    FDIC Refreshes Guidance on High-Risk Customers

    2015-01-29T15:15:00Z

    Gun merchants, strippers, and payday lenders rejoice! The Federal Deposit Insurance Corp. has signaled an end to its effort to restrict industries deemed as “high risk” from banking access. The FDIC tells banks to take a risk-based approach in assessing individual “customers, rather than declining to provide banking services to ...

  • Blog

    Glass Lewis Revamps Reviews of Proxy Access Proposals

    2015-01-29T13:45:00Z

    Proxy advisory firm Glass Lewis & Co. has outlined a new approach for how it will treat dueling proposals for shareholder access to the proxy statement: it will review such proposals, from shareholders themselves or from companies looking to quash them, to ensure neither side seeks to impose an undue ...

  • Blog

    Study Says Investors Need to Know About Audit Offshoring

    2015-01-29T10:00:00Z

    Apparently doubting the quality of the audit, investors punish companies when they first learn that others from outside the principal audit firm had a hand in assuring the company’s financial statements.

  • Blog

    SEC's Erin Schneider Named Associate Regional Director in San Francisco

    2015-01-29T09:15:00Z

    The SEC has named Erin E. Schneider as the new Associate Regional Director for enforcement in its San Francisco office. As Associate Regional Director, Schneider will lead the team of attorneys, accountants and other professionals who investigate and litigate the San Francisco office’s enforcement efforts for Northern California and the ...

  • Blog

    EU Cracking Down on Abuse of Parent-Subsidiary Rules

    2015-01-28T12:30:00Z

    Image: The European Union has amended its parent-subsidiary directive to prevent national tax authorities from granting benefits to a corporation if its tax arrangement is determined to be not reflective of the company’s economic reality. Initially intended to prevent parent corporations from being taxed twice on profits made by subsidiaries ...

  • Blog

    U.K. Financial Watchdog Will Keep Sharp Eye on Compliance Lapses

    2015-01-28T12:15:00Z

    News coming from the United Kingdom’s Financial Conduct Authority indicates the three-year-old regulator is going to enhance its vigilance of bribery and other financial crimes while keeping close tabs on companies’ controls and processes, according to articles in the Financial Times and FCPA Blog. The FCPA Blog noted that the ...

  • Blog

    Obama Nominates Stuart Delery as Associate Attorney General

    2015-01-28T10:45:00Z

    President Barack Obama has nominated Acting Associate Attorney General Stuart Delery to permanently serve in the Justice Department’s third-ranking post. He must still be confirmed by the Senate. “Stuart has proven himself to be an outstanding attorney, an extraordinarily dedicated public servant, and an indispensable part of our senior leadership ...

  • Blog

    Japanese Firm Fined $3.2M on Price-Fixing Charges

    2015-01-28T10:15:00Z

    Japan-based auto parts maker Sanden has agreed to pay a $3.2 million criminal fine to the Department of Justice for its role in a conspiracy to suppress competition for the purchase of compressors sold to Nissan North America. “The Division continues to vigorously prosecute companies and individuals that seek to ...

  • Blog

    Ford Feels Venezuela Pinch With $800 Million Charge

    2015-01-27T14:00:00Z

    Ford Motor Co. is taking a one-time $800 million charge to earnings in its 2014 fourth quarter because of continued currency problems with Venezuelan operations. In a filing with the SEC, the company said the currency woes have constrained parts availability, which makes normal production difficult to maintain. Details inside.

  • Blog

    Feds Seek Rehearing on Insider-Trading Setback

    2015-01-27T13:30:00Z

    The Justice Department has asked for a new hearing in the case of U.S. vs. Newman, where an appellate decision had previously reversed insider-trading convictions of two men. Prosecutors say the Newman decision has caused difficulties in other recent insider-trading cases, as the definition of the “personal benefit” requirement conflicts ...

  • Blog

    FASB Proposes Simplifications to Income Tax Accounting

    2015-01-27T13:30:00Z

    The Financial Accounting Standards Board has issued two proposed accounting standard updates to simplify the accounting for income taxes. One would simplify accounting for the tax effects of intra-entity asset transfers, while the other focuses on the classification of deferred tax assets and liabilities that are carried on the balance ...

  • Blog

    SEC Speaks on Graphics, Multimedia in Filings

    2015-01-27T13:00:00Z

    The SEC is offering guidance on how companies can use charts, graphics, and even multimedia files in corporate filings to tell your story in fewer words. All well and good, says a new Compliance and Disclosure Interpretation from the Division of Corporation Finance. It warns, however, that required information must ...

  • Blog

    Oppenheimer Dinged $20 Mill for Penny Stock Violations

    2015-01-27T12:45:00Z

    The Financial Crimes Enforcement Network and the SEC today slapped securities broker Oppenheimer with a $20 million penalty for not adhering to rules on the sale of penny stocks. Of that amount, $10 million will go to the SEC to resolve related securities and Bank Secrecy Act violations. Details inside.

  • Blog

    How Good Ideas Still Lead to Bad Reporting

    2015-01-27T09:30:00Z

    Every role in financial reporting is generally clear, which should lead to a relatively smooth process to issue financial reports—and yet, no. This month, Compliance Week columnist Scott Taub examines the peculiar inefficiency we have around adjustment of immaterial items. Even as participants in the reporting ecosystem all do their ...