Search for: "B&B SECURITY CONSULTANTS, INC." Results 641 - 660 of 1,110
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21 Aug 2015, 6:07 pm by Cynthia Marcotte Stamer
  Even when not a fiduciary, however, insurance, administrative services or other plan vendors and consultants also should keep in mind that employers and fiduciaries that incur unexpected excise tax or other liability for an improperly designed or administered plan are likely to look to the consultants and brokers, administrative or other services or other vendors or advisors they relied on to help design or administer the group health plan. [read post]
19 Aug 2015, 9:12 pm by Adam Weinstein
Our consultations are free of charge and the firm is only compensated if you recover. [read post]
31 Jul 2015, 12:16 pm by William Maruca
   The complaint alleges that FileFax, Inc. violated the Illinois Consumer Fraud and Deceptive Business Practices Act by failing to handle the records entrusted to it for secure disposal by the practice, Suburban Lung Associates, as required by the Illinois Personal Information Protection Act as well as HIPAA. [read post]
31 Jul 2015, 5:25 am by Mary Jane Wilmoth
§ (b)(1)(A), which states that an employee is protected if he reports a hazardous safety or security condition in good faith. [read post]
29 Jul 2015, 7:28 am by Adam Weinstein
Our consultations are free of charge and the firm is only compensated if you recover. [read post]
27 Jul 2015, 11:56 am by Cynthia Marcotte Stamer
  Employers that sponsor group health plans that violated certain health care reform mandates for claims and appeals imposed by the Patient Protection and Affordable Care Act (ACA) will face a duty to pay an excise tax of $100 per violation per day under the expanded Form 8928 filing requirements made applicable to employers providing health plan coverage after 2013 under the Internal Revenue Code (Code), as well undermine the enforceability of claims and appeals decisions under Section… [read post]
23 Jul 2015, 8:33 am by Rebecca Tushnet
Burton v. iYogi, Inc., 2015 WL 4385665, No. 13–CV–6926 (S.D.N.Y. [read post]
17 Jul 2015, 5:28 pm
On August 22, 2007, TM executed a mortgage on the property in favor of plaintiff's predecessor, ABN AMRO Mortgage Group, Inc. to secure a loan in the amount of $340,000.00. [read post]
30 Jun 2015, 6:52 am by Schachtman
Under the current version of Rule 26(a)(2)(B), the scope of required disclosure in the expert report has been narrowed in some respects. [read post]
17 Jun 2015, 4:00 am by Administrator
(Check for commentary on CanLII Connects) The most-consulted French-language decision was Rothmans, Benson & Hedges inc. c. [read post]
26 May 2015, 11:32 am by Lax & Neville LLP
 FINRA alleged that LPL violated National Association of Securities Dealers (“NASD”) Rule 3010(b) and FINRA Rule 2010, which state that “[a] member, in the conduct of its business, shall observe high standards of commercial honor and just and equitable principles of trade. [read post]
12 May 2015, 2:43 pm by James Galvin
If you suffered losses investing in Bank of Montreal Reverse Convertible Notes and would like a free consultation with a securities attorney, please call The White Law Group at 312-238-9650. [read post]