Appointment Blogs | Compliance Week – Page 86

  • Blog

    Labor Dept. encourages self-reporting of wage violations

    2018-03-07T11:00:00Z

    The Wage and Hour Division of the U.S. Department of Labor has announced a new initiative intended to encourage self-reporting of wage and hour violations.

  • Blog

    Big banks want nationwide breach standards

    2018-03-07T11:00:00Z

    the Financial Services Roundtable, a trade group for the nation’s largest banks, is calling upon Congress to “enact a strong set of national data security standards” in efforts to better protect consumers and sensitive financial information.

  • Blog

    PCAOB censures former engagement partner over Koss audits

    2018-03-07T10:30:00Z

    The PCAOB has censured the partner who oversaw audits at Koss, where a top finance executive went prison on charges of embezzling more than $30 million.

  • Blog

    Former Co-operative Bank chair banned from the financial services industry

    2018-03-06T11:30:00Z

    The Financial Conduct Authority has banned former Co-operative Bank Chair Paul Flowers from the financial services industry after he was caught using his work phone and e-mail to conduct inappropriate phone calls and send sexually explicit messages.

  • Blog

    Financial Conduct Authority bans former Deutsche Bank trader

    2018-03-06T11:30:00Z

    The U.K. Financial Conduct Authority has fined Guillaume Adolph, a former short-term interest rate derivatives trader at Deutsche Bank, £180,000 and banned him from performing any function in relation to any regulated financial activity.

  • Blog

    SFO to seek retrial of three former Tesco managers

    2018-03-06T11:00:00Z

    The U.K. Serious Fraud Office is seeking a retrial of three former senior managers of retail company Tesco, who are facing fraud and false accounting charges.

  • Blog

    New study says long audit tenure slows corrections

    2018-03-06T09:15:00Z

    Recently published academic research suggests there is indeed a detriment to audit quality when audit firms hold long tenures on audit engagements.

  • Blog

    Dallas Mavericks seeking chief ethics and compliance officer

    2018-03-06T09:00:00Z

    In an effort to clean up its toxic workplace culture, the Dallas Mavericks are looking to hire a chief ethics and compliance officer.

  • Blog

    Preventing money laundering in law firms

    2018-03-05T17:15:00Z

    Strict new anti-money laundering regulations will make compliance matters much more complicated for U.K. solicitors whose business makes them a target for money laundering operations.

  • Blog

    Autoliv elects two new board members

    2018-03-05T13:15:00Z

    Autoliv, an automotive safety systems company, has added two new independent directors to the Autoliv Board, Hasse Johansson and Thaddeus “Ted” Senko, effective March 2. With the addition of Johansson and Senko, Autoliv has expanded its board size from nine to eleven directors.

  • Blog

    The board's role in internal controls

    2018-03-03T12:00:00Z

    Internal controls for a board or board compliance committee should be broken down into five concepts, says The Man From FCPA.

  • Blog

    CCO reporting to the board

    2018-03-03T12:00:00Z

    Chief compliance officer reporting to the appropriate board of director’s compliance committee has to be structured carefully to promote ethics and compliance. Inside are five best practices that should guide the reporting.

  • Blog

    Compliance lessons from the HP-Autonomy fiasco

    2018-03-03T11:45:00Z

    The Man From FCPA discusses the reasons behind one of the greatest corporate disasters in the past few years: the acquisition of Autonomy by Hewlett-Packard.

  • Blog

    Is a success fee high risk?

    2018-03-03T11:30:00Z

    It was reported that two U.S. lawyers had proposed a success fee in the amount of $75 million, if they could get the Department of Justice to drop its investigation into the 1MDB “quickly.”

  • Blog

    Wells Fargo continues to trip on itself

    2018-03-02T13:00:00Z

    Wells Fargo cannot seem to get out of its own way to begin to move forward. Now, the bank is facing a whistleblower lawsuit and investigation by the Consumer Financial Protection Bureau for closing fraud victims’ accounts without investigating potential criminal activity, a violation of law.

  • Blog

    FASB fixes financial instruments, proposes fix to cloud costs

    2018-03-02T10:00:00Z

    FASB has finalized some technical corrections to its standard on financial statements and proposed new guidance on accounting for certain cloud computing costs.

  • Blog

    CFPB launches public review of complaint database

    2018-03-02T10:00:00Z

    Continuing a top-down reassessment of operations and policies, the CFPB has settled on its next review target: its controversial complaint database.

  • Blog

    Chief accounting officer at Oaktree Capital leaving

    2018-03-02T09:45:00Z

    Susan Gentile, chief accounting officer at Oaktree Capital, has announced her resignation from the company, effective March 23, to pursue other career opportunities.

  • Blog

    Exterran FCPA investigation ends without enforcement action

    2018-03-01T15:00:00Z

    Exterran said it will not face an enforcement action following a Foreign Corrupt Practices Act investigation, but an SEC investigation related to circumstances giving rise to a previous restatement is continuing.

  • Blog

    Australia rolls out real-time payments

    2018-03-01T09:15:00Z

    Australia has publically launched its New Payments Platform, a landmark payments industry initiative designed and constructed to fundamentally improve how consumers, companies, and governments transact with one another.