In the News
New Report Stirs Old Fears of Compliance Officer Liability (Navex Global)
Date
February 25, 2020
Navex Global, February 25, 2020
New Report Stirs Old Fears of Compliance Officer Liability
The New York City Bar Association recently released a report warning that compliance officers face an increasing risk of personal liability for the failures of their compliance programs — and that risk, the report said, scares good compliance professionals away from the job.
Related events
Related media
Related reports
Past Event
Apr 18, 2024 |
11 AM-3:30 PM |
CLE
Double Danger: How Corporations’ Political Activities Create Risks and Opportunities When Election Laws and Corporate Governance Intersect
View DetailsPast EventOn-Demand CLE
Oct 24, 2023 |
9 AM-6 PM |
On-Demand
Compliance Institute 2023
View On-DemandPast Event
Aug 29, 2023 |
6-8 PM |
Event
Careers in Compliance for Minority Law Students and LL.M. Candidates
View DetailsIn the News
February 13, 2024
SEC Enforcement Targets Anti-Whistleblower Practices in Financial Firm’s Settlement Agreements with Retail Clients by Imposing Highest Penalty in Standalone Enforcement Action Under Exchange Act Rule 21 F-17(a) (National Law Review)
SEC Enforcement Targets Anti-Whistleblower Practices in Financial Firm’s Settlement Agreements with Retail Clients by Imposing Highest Penalty in Standalone Enforcement Action Under Exchange Act Rule 21 F-17(a) (National Law Review)Committee Report
March 11, 2024
Artificial Intelligence and Machine Learning in Financial Services
Artificial Intelligence and Machine Learning in Financial ServicesCommittee Report
December 11, 2023