All Compliance Week articles in Web Issue – Page 321
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Article
Health Insurance Innovations appoints chief compliance officer
Health Insurance Innovations, a cloud-based technology platform and distributor of health insurance and life insurance products, has appointed Domenick DiCicco as its chief compliance officer and counsel.
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Video
CW2019 clip: Amii Barnard-Bahn on negotiating compensation
Executive coach and Compliance Week contributor Amii Barnard-Bahn shares tips for negotiating job compensation during a panel on unlocking career potential in this clip from CW’s 2019 annual conference in Washington D.C.
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Article
Five ‘essential components’ of a sanctions compliance program
Chief compliance officers got some much-needed guidance on how to build a well-crafted sanctions compliance program thanks to the recent OFAC framework.
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Article
Genstar Capital names chief compliance officer
Genstar Capital, a private equity firm, has appointed Carolyn Greenwalt as chief compliance officer.
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Article
Bristow Group appoints general counsel and corporate secretary
Bristow Group, an industrial aviation service provider, has appointed Victoria Lazar as general counsel and corporate secretary. In this role, she will be responsible for all legal aspects of the business, corporate compliance, and insurance.
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Article
CECL in summer: Get ready for models, data, auditors
It may be summertime, but the living is not so easy for corporate finance staff preparing for CECL—a major change to the reporting of credit losses.
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Article
Rio Tinto appoints new group general counsel
Rio Tinto has appointed Barbara Levi to succeed Philip Richards as group executive, group general counsel. In this role, she will lead Rio Tinto’s legal and compliance team.
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Article
E2open completes Amber Road acquisition
E2open, a supply chain software solutions provider, announced the completion of its previously disclosed acquisition of Amber Road.
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Podcast
Vanessa Rossi on operationalized compliance done right
Vanessa Rossi, senior compliance counsel at Baker Hughes, explains to columnist Tom Fox the benefits of operationalized compliance and how to ensure it is properly in place.
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Article
CFTC issues joint $2M whistleblower award
The Commodity Futures Trading Commission announced on July 1 an award of $2 million to two “model whistleblowers” who provided the agency with “significant information” that prompted the CFTC to open an investigation.
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Article
BDO shows improvement in latest PCAOB inspection
The PCAOB says it found fault with 39 percent of the audits inspected at BDO USA in 2017 – the firm’s first time with a deficiency rate below 50 percent since 2011.
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Article
FASB proposes small changes to CECL standard
FASB has issued a proposed revision to the CECL standard to address a handful of implementation questions as companies prepare for the new accounting.
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Article
Why CEOs today must be change leaders for social issues
The Wayfair walkout represents just the latest high-profile example of how social and policy issues continue to spill into the corporate ethics and compliance realm.
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Article
Amid investigation, Nordea names chief compliance officer
Scandinavia’s biggest banking group, Nordea, has appointed Helene Jepson as chief compliance officer and head of group compliance.
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Article
ProcessUnity updates Risk and Compliance platform
ProcessUnity, a provider of cloud-based applications for risk management, launched the latest version of its Risk and Compliance platform.
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Article
House moves to cut funding for SEC’s Regulation Best Interest
Joining the growing discontent with the SEC’s Regulation Best Interest, Democrats in the House of Representatives have passed legislation that could starve the quasi-fiduciary standard for investment advice of funding.
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Article
State Street to pay $88.8M for mutual fund overcharges
State Street will pay $88.8 million to resolve charges with the SEC that it overcharged mutual funds and other registered investment company clients for expenses related to the firm’s custody of client assets.
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Article
FTC expands scope of data security compliance requirements
The FTC is turning up the heat on the data security compliance requirements companies must meet in the event of an enforcement action following a data breach.
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Article
UBS compliance officer convicted of insider trading
A London Southwark Crown Court jury on June 27 convicted two individuals—a senior compliance officer of UBS and a day trader of financial securities—and sentenced them to three years’ imprisonment for insider trading.
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Article
Yet another misstep by Danske results in firing of interim Danish CEO
Danske Bank has been forced to fire yet another board member—this time for mis-selling thousands of customers a wealth management product that charged excessive fees.