Search for: "DIVISION OF RISK MANAGEMENT" Results 2901 - 2920 of 5,187
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27 Apr 2016, 9:01 am by Cynthia Marcotte Stamer
About The Author A practicing attorney and Managing Shareholder of Cynthia Marcotte Stamer, P.C. [read post]
26 Apr 2016, 5:47 pm
 What are unique risks that seniors face in the event of an accident? [read post]
26 Apr 2016, 9:06 am by Daniel E. Katz
  Recently, Justice Carolyn Demarest of the Commercial Division in the Brooklyn Supreme Court rendered a decision grappling with certain issues of first impression in Board of Managers of the 125 North 10th Condo v. 125 North 10, LLC (Supreme Court Kings County Index Number 14982/2012). [read post]
26 Apr 2016, 9:06 am by Daniel E. Katz
  Recently, Justice Carolyn Demarest of the Commercial Division in the Brooklyn Supreme Court rendered a decision grappling with certain issues of first impression in Board of Managers of the 125 North 10th Condo v. 125 North 10, LLC (Supreme Court Kings County Index Number 14982/2012). [read post]
24 Apr 2016, 3:48 am by SHG
And lest we only dump on obsequious educational institutions, Congress may gripe a bit about the details of how the Star Chambers are managed, but it, too, has failed to act to stop Lhamon’s reign of terror. [read post]
21 Apr 2016, 12:23 pm by John Chierichella
  If the affected government contracts are in more than one plant or division of the transferor, the responsible contracting officer will be the ACO responsible for the transferor’s corporate office. [read post]
21 Apr 2016, 10:07 am by Cynthia Marcotte Stamer
When conducting this review, Covered Entities and business associates also generally should consider the advisability of also reviewing their business associate agreements and the adequacy of these arrangements in light of any other contractual confidentiality and or contractual rights and commitments, regulatory requirements and other operational and risk management concerns that impact or interrelate with the relationship between the business associate and the Covered Entity. [read post]
21 Apr 2016, 10:07 am by Cynthia Marcotte Stamer
When conducting this review, Covered Entities and business associates also generally should consider the advisability of also reviewing their business associate agreements and the adequacy of these arrangements in light of any other contractual confidentiality and or contractual rights and commitments, regulatory requirements and other operational and risk management concerns that impact or interrelate with the relationship between the business associate and the Covered Entity. [read post]
18 Apr 2016, 1:38 pm by scottgaille
Contractual clauses are not always susceptible to compromise by division. [read post]
18 Apr 2016, 10:40 am by Gene Killian
This issue recently came up in the New Jersey Appellate Division, in a case involving the alleged breach of a non-compete and confidentiality agreement by an insurance broker. [read post]
13 Apr 2016, 4:55 pm by Kevin LaCroix
 For certain, simply receiving regular reports on a law firm’s cybersecurity risk management is no longer enough. [read post]
13 Apr 2016, 3:16 am by Broc Romanek
The theory behind this view is that the greater the aggregate fees the auditor is generating from the client, the less inclined the firm’s personnel will be to risk the relationship by challenging management’s views on financial reporting issues. [read post]
13 Apr 2016, 3:16 am by Broc Romanek
The theory behind this view is that the greater the aggregate fees the auditor is generating from the client, the less inclined the firm’s personnel will be to risk the relationship by challenging management’s views on financial reporting issues. [read post]
12 Apr 2016, 3:50 pm by Cynthia Marcotte Stamer
” For purposes of the rule, “covered investment advice” generally includes: A recommendation to a plan, plan fiduciary, plan participant and beneficiary and IRA owner for a fee or other compensation, direct or indirect, as to the advisability of buying, holding, selling or exchanging securities or other investment property, including recommendations as to the investment of securities or other property after the securities or other property are rolled over or distributed from a plan… [read post]
12 Apr 2016, 3:50 pm by Cynthia Marcotte Stamer
” For purposes of the rule, “covered investment advice” generally includes: A recommendation to a plan, plan fiduciary, plan participant and beneficiary and IRA owner for a fee or other compensation, direct or indirect, as to the advisability of buying, holding, selling or exchanging securities or other investment property, including recommendations as to the investment of securities or other property after the securities or other property are rolled over or distributed from a plan… [read post]
11 Apr 2016, 11:28 am by Mark Astarita
Sprung’s tenure was building a nationwide team within the Enforcement Division that developed expertise in the asset management industry and partnered with other SEC divisions and offices on examination sweeps, rulemakings, and more effective detection of emerging risks. [read post]
11 Apr 2016, 10:15 am by Cynthia Marcotte Stamer
Stamer’s legal and management consulting work throughout her career has focused on helping organizations and their management use the law and process to manage people, process, compliance, operations and risk. [read post]
11 Apr 2016, 10:15 am by Cynthia Marcotte Stamer
Stamer’s legal and management consulting work throughout her career has focused on helping organizations and their management use the law and process to manage people, process, compliance, operations and risk. [read post]