Search for: "Governance Risk Management Compliance, LLC" Results 121 - 140 of 655
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15 Jun 2022, 3:03 am by Rob Robinson
What does it mean to Enterprise Risk Management Professionals (Privacy, Compliance, Info Governance, IT Security, and Legal)? [read post]
21 May 2022, 11:11 am by Gene Takagi
This is the third and last post we’ll publish on Georgetown Law’s 39th Annual Representing and Managing Tax-Exempt Organizations Conference featuring highlights from a number of sessions (mixed in some cases with my own thoughts). [read post]
29 Apr 2022, 6:27 am
Skinner, Ropes & Gray LLP, on Monday, April 25, 2022 Tags: Climate change, Disclosure, Environmental disclosure, ESG, Greenwashing, Institutional Investors, SEC, Securities regulation, Sustainability AI Oversight Is Becoming a Board Issue Posted by Avi Gesser, Bill Regner, and Anna Gressel, Debevoise & Plimpton LLP, on Tuesday, April 26, 2022 Tags: Algorithmic trading, Artificial intelligence, Boards of… [read post]
29 Apr 2022, 6:27 am
Skinner, Ropes & Gray LLP, on Monday, April 25, 2022 Tags: Climate change, Disclosure, Environmental disclosure, ESG, Greenwashing, Institutional Investors, SEC, Securities regulation, Sustainability AI Oversight Is Becoming a Board Issue Posted by Avi Gesser, Bill Regner, and Anna Gressel, Debevoise & Plimpton LLP, on Tuesday, April 26, 2022 Tags: Algorithmic trading, Artificial intelligence, Boards of… [read post]
13 Apr 2022, 1:13 pm by Ana Popovich
” PPOA will implement several changes because of the CIA including: “maintain a compliance department, medical director and oversight board; retain a compliance expert; provide management certifications; maintain written standards, training and education; obtain multiple annual claims reviews by an Independent Review Organization; establish a risk assessment and internal review process; and implement monitoring of testing referrals. [read post]
12 Apr 2022, 8:02 am by Dan Bressler
All organizations have pockets of data that may not have been well organized or governed. [read post]
8 Apr 2022, 2:05 am by Editors
Commercial Counsel – Commercial Transactions & Partnerships, Bill.com (San Jose, CA) Corporate Counsel, Harrison Street (Chicago, IL) Knowledge Management Counsel, Redesign Health (New York, NY) Assistant General Counsel, WETA (Arlington, VA) Compliance Counsel, Deerfield Management Company, L.P. [read post]
3 Apr 2022, 12:42 pm by Stuart Kaplow
We are regularly asked if there is a checklist for ESG compliance and while there is not, good guidance is often available by emulating best practices in other industries and copying what others have done before also mitigates risk while addressing the “G” in ESG. [read post]
27 Mar 2022, 2:33 pm by Stuart Kaplow
Net Zero Strategy, will require companies to disclose information about (1) the company’s governance of climate related risks and relevant risk management processes; (2) how any climate related risks identified by the company have had or are likely to have a material impact on its business and consolidated financial statements, which may manifest over the short, medium, or long term; (3) how any identified climate related risks have… [read post]
16 Mar 2022, 6:04 am by Bob Ambrogi
It will integrate the products with its cloud-based e-discovery platform to enable corporate legal customers to meet legal hold obligations and legal request compliance. [read post]
2 Mar 2022, 6:49 am by Hunton Andrews Kurth LLP
Russia-related General License 8A, which replaces and supersedes General License 8 (issued with the February 24, 2022, tranche of sanctions on Russian banks), includes Russia’s Central Bank among the list of banks with which US persons may engage in transactions related to energy until June 24, 2022.5  OFAC also issued full blocking sanctions on three of Russia’s key sovereign wealth funds: Russian Direct Investment Fund (“RDIF”), Joint Stock Company Management… [read post]
11 Feb 2022, 6:11 am
How Cyberattacks Target Stakeholders Posted by Meredith Griffanti, Evan Roberts, and Josh Chodor, FTI Consulting, on Friday, February 4, 2022 Tags: Cryptocurrency, Cybersecurity, Privacy, Ransomware, Risk disclosure, Risk management, Stakeholders ESG Engagement Success Posted by Hannah Orowitz, Georgeson, on Friday, February 4, 2022 Tags: Engagement, ESG, Institutional Investors, Proxy… [read post]
1 Feb 2022, 4:08 pm by Ben Vernia
CMS adjusts the payments for various “risk” factors that affect expected healthcare expenditures to ensure that plans are paid more for enrollees who pose a greater risk. [read post]
30 Jan 2022, 4:46 pm by INFORRM
The appeal in the case of Rondon v LexisNexis Risk Solutions Limited was dismissed by consent on 31 January 2022. [read post]
28 Jan 2022, 11:00 am by gabrielagendreau
Duties include: (1) Collaborating with Senior Staff Attorneys and the Legal Director for the purpose of legal work management that includes Staff Attorney mentoring and supervision, assistance and administration of local legal work management systems, and grant and special project development and implementation, as directed by the Legal Director; (2) Developing and maintaining effective relationships with Tribes and Indian organizations in the service territory; (3) Carrying an… [read post]
19 Jan 2022, 2:35 am by The White Law Group
  According to the GWG L Bond prospectus, “An investment in the L Bonds involves significant risks, including the risk of losing your entire investment, and may be considered speculative. [read post]
14 Jan 2022, 5:57 am
FEC, Disclosure, ESG, Institutional Investors, Lobbying, Political spending, Reputation, Risk management Board Practices Quarterly: Diversity, Equity, Inclusion: One Year Later Posted by Natalie Cooper and Robert Lamm (Deloitte LLP), and Randi Val Morrison (Society for Corporate Governance), on Wednesday, January 12, 2022 Tags: Board composition, Board dynamics, Boards of… [read post]
7 Jan 2022, 5:52 am
Peregrine, McDermott, Will & Emery LLP, on Monday, January 3, 2022 Tags: Accounting, Compliance & ethics, Compliance and disclosure interpretation, Corporate fraud, Enron, Financial regulation, Misconduct, Sarbanes–Oxley Act, Securities enforcement, Securities fraud, Securities regulation Are All Risks Created Equal? [read post]
29 Dec 2021, 9:22 am by Bob Ambrogi
In 2015, AppFolio, which then owned practice management platform MyCase, went through an IPO, but its primary products were not in legal, but in property management. [read post]