Mr. Baker also represents companies, boards and audit committees in corporate and government investigations, and counsels
on corporate governance compliance, crisis management, dispute resolution, strategic planning and communications strategies.
He also advises
on corporate governance compliance matters.
Not exact matches
She has more than 20 years of experience advising Fortune 500 companies
on significant
corporate transactions,
governance matters, securities,
compliance, risk management, audit, and litigation matters.
Frequently called upon to provide her expertise to the financial, national and international press, Ms. Bloxham has appeared
on the many shows of CNBC including appearances with Maria Baroilomo and Larry Kudlow,
on Fox Business and Bloomberg TV,
on National and German Public Radio, MSNBC, Business Week, USA Today, Les Echos, American Banker, New York's Newsday, the San Francisco Chronicle, Charlotte Observer, Atlanta Journal Constitution, Miami Herald, the Philadelphia Inquirer, the New York Times, Board Alert,
Compliance Week and the Wall Street Journal, among many others, discussing the subjects of
corporate governance, compensation, performance and value.
To read more about our
corporate governance and our policies on risk management, performance - based executive compensation and our anonymous compliance hotline and website, visit Corporate Governance on our corpor
corporate governance and our policies on risk management, performance - based executive compensation and our anonymous compliance hotline and website, visit Corporate Governance on our corpo
governance and our policies
on risk management, performance - based executive compensation and our anonymous
compliance hotline and website, visit
Corporate Governance on our corpor
Corporate Governance on our corpo
Governance on our
corporatecorporate site.
Seminars were held
on Corporate Governance,
Corporate Institutionalisation, Board Effectiveness,
Compliance, Accountability and more.
«His extensive experience in
compliance and
corporate governance issues, coupled with his service as an officer and director
on both for profit and non-profit boards, make him an excellent addition to the Board.
Throughout his 35 year career, Mr. Koerner has used his understanding of everyday business challenges to effectively advise entrepreneurs and clients
on a vast array of issues, including
corporate governance and regulatory
compliance.
In this climate of accelerated growth, I provide guidance to Manitoba credit unions
on matters of common concern, such as
corporate governance,
compliance, and regulatory requirements, both federal and provincial.
She has extensive experience representing multinational companies and financial institutions with respect to anti-corruption and
compliance matters, including advising clients
on due diligence in connection with acquisitions and joint ventures, third - party engagements, risk assessments,
corporate governance issues, and the implementation of effective
compliance programs.
She has extensive experience representing multinational companies and financial institutions with respect to anti-corruption and
compliance matters, including advising clients
on due diligence in connection with acquisitions and joint ventures, third party engagements, risk assessments,
corporate governance issues and the implementation of effective
compliance programs.
He counsels insurers
on a broad range of
compliance matters, including rate regulation, pricing, product formation, underwriting, claims handling, operations, premium tax, reinsurance,
corporate governance, licensing, market conduct and financial examinations, consumer complaints and deceptive practice claims, and internal and regulatory investigations, as well as legislative and rulemaking matters.
We also counsel board members, executives and managers
on matters such as
corporate governance, regulatory /
compliance, and employment law issues.
He also regularly advises clients
on corporate governance, reporting and
compliance and general
corporate matters.
We advise clients
on corporate compliance and
governance issues, providing continuous, up - to - date information
on duties and responsibilities of
corporate officers.
, 2016 • «Foreign Anti-Corruption
Compliance: Director and Office Obligations and Considerations»,
Corporate Governance by Federated Press, Volume IX, No. 4, 2013 • Canada Gets Tough
on Corruption, February 2013 • «Why You Should Think About an Anti-Corruption
Compliance Program», TechSTARTUPCenter.com, April 2013 • «Tendering Law: The Evolution of the Duty of Fairness and What it Means for Clients», Presentation, 18th East Region Solicitors Conference 2012 • Panelist, Government of Canada, Economic Action Plan Roundtable: «Helping Businesses Sell to the Government of Canada», 2011 • «A Comparison of Canada's Proposed Consumer Product Safety Legislation (Bill C - 52) and its American Counterpart», Focus
on Federal Advocacy and Policy, June 2008
Dwaune Dupree counsels investment funds and business development companies (BDCs)
on a broad range of
corporate, regulatory,
compliance and
corporate governance matters.
During such time, he served as outside General Counsel and M&A counsel for domestic and international business entities and private investment and capital groups, which included negotiating and documenting purchase, sale and merger agreements and dissolutions,
corporate contracts related to licensing, executive employment agreements,
corporate governance, acquisition, vendor contracting, leasing and real estate property matters, and advising
on loss mitigation and
compliance issues.
She regularly advises public companies
on securities regulatory
compliance matters, including continuous disclosure obligations, mining disclosure standards and stock exchange rules, as well as
corporate governance issues.
The lawyers in the
corporate department provide guidance to the boards of directors and management
on ongoing
compliance issues, ranging from implementing
corporate governance reforms to complying.
Her law practice focuses
on helping these businesses with questions of
corporate formation and
governance, transactions, insurance, risk management and liability issues, intellectual property oversight and
compliance, and management of additional counsel.
He is also experienced in advising banks and other financial institutions
on corporate governance and
compliance matters, bank insolvency issues, government investigations and enforcement actions, cross-border collateral transactions, and clearance and settlement systems.
As a
corporate and securities counsel at GE, she advised
on corporate governance, securities law disclosure
compliance, shareholder outreach and shareholder proposals.
Easton has an impressive track record advising
on public and private company mergers and acquisitions, SEC
compliance, and
corporate governance matters.
His experience includes working
on complex transactional documents, mergers and acquisitions,
corporate governance and
compliance with both state and federal regulations.
We work around the world for our
corporate, law firm and government clients
on projects that range across litigation support,
compliance, investigation,
governance and remediation.
He has also advised U.S. and non-U.S. clients
on general
corporate matters, including with respect to
corporate governance, SEC reporting and other
compliance matters.
She also focuses
on corporate governance,
corporate compliance, risk management, and patient care issues.
A private Japanese - owned oil and gas service company conducting business in Western Canada
on corporate restructuring matters, product sales agreements, acquisitions and dispositions,
corporate governance and
compliance issues
Harry also regularly advises public companies
on compliance with ongoing SEC reporting obligations and other securities laws, including Section 16 (b)
compliance, Rule 10b5 - 1 plans, the Sarbanes - Oxley Act, Form S - 8 and proxy disclosure, as well as the
corporate governance listing requirements of the national securities exchanges.
We provide day - to - day support, transactional support, and crisis management service to a wide variety of financial services enterprises
on corporate governance, enterprise risk management and related securities and financial regulatory
compliance.
Extensive hands -
on expertise in domestic and international commercial and financial transactions, commercialization of technology assets,
corporate governance, securities and regulatory
compliance.
Based
on the study results Arzinger is highly recommended in such legal areas as Dispute Resolution, Arbitration And Mediation, Antitrust & Competition, International Arbitration,
Corporate and M&A, Labor & Employment,
Corporate Governance &
Compliance, Tax Law, Agribusiness, Legal Representation in product liability disputes as well as Real Estate.
I am available
on a part - time or as - needed basis,
on - site or remotely, to supply all of the services normally provided by inhouse or inside general counsel — everything from drafting and negotiating contracts, form agreements and policies to providing advice and services regarding your strategic planning,
corporate governance, dispute resolution and legal
compliance issues.
Benjamin Britz advises clients
on all aspects of
corporate governance including government investigations, shareholder class action and derivative litigation, and
corporate compliance matters.
The D4 team attending #LTNY14 recaps key topics everyone was talking about
on Day 1 - BIG data, using predictive coding / predictive analytics for information
governance and
corporate compliance, coordination in order to save costs and more.
Representing publicly traded corporations, Amy I. Pandit counsels clients
on corporate governance; executive compensation; and in federal securities laws, stock exchange, Sarbanes — Oxley Act, and Dodd — Frank Act
compliance matters.
She advises clients in the not - for - profit and charitable sector
on a variety of matters including
corporate governance, risk management, privacy and access to information,
compliance and directors» and officers» liability.
Amy works closely with companies» boards of directors and executive management teams, engaging them
on critical legal and
compliance matters and advising
on corporate governance issues most relevant to their business, shareholders, and other stakeholders.
Colin Barnacle Barnacle focuses his practice
on labor and employment litigation,
compliance counseling,
corporate governance counseling and investigations, and non-compete and trade secret enforcement.
As a partner in Davis Polk's
Corporate Department, Mr. Meade primarily represents issuer and underwriter clients in public and private securities offerings, and also advises on general corporate matters, including strategic transactions, corporate governance and SEC reporting and compliance matters, for U.S. and non-U.S. corp
Corporate Department, Mr. Meade primarily represents issuer and underwriter clients in public and private securities offerings, and also advises
on general
corporate matters, including strategic transactions, corporate governance and SEC reporting and compliance matters, for U.S. and non-U.S. corp
corporate matters, including strategic transactions,
corporate governance and SEC reporting and compliance matters, for U.S. and non-U.S. corp
corporate governance and SEC reporting and
compliance matters, for U.S. and non-U.S. corporations.
The programs align with the Federal Organizational Sentencing Guidelines» criteria
on what constitutes an effective
compliance program as well as adhere to the
corporate governance requirements of the Sarbanes - Oxley Act of 2002.
Orly Lobel spoke
on her research
on post-Enron employee whistle - blowing protections in relation to new
governance approaches to
corporate compliance.
Representing or assisting clients
on investigations into
corporate governance and
compliance issues.
He has also acted
on behalf of underwriters and dealers in both public and private offerings of equity and debt and assists clients with
corporate governance matters and continuous disclosure
compliance obligations, as well as general
corporate and commercial matters.
Newsom focuses his practice
on mergers and acquisitions, private equity investment transactions, securities offerings, complex joint ventures and
corporate governance and
compliance matters.
She also routinely advises boards of directors, audit committees, and companies
on corporate governance and
compliance matters, including the design of strategies, policies and procedures to mitigate risk.
Although experience internationally shows that cartels may exist in almost any industry, there are certain industry structures and commercial activities and / or factors that may increase the risk of cartel formation, including: - customers that make regular, repetitive purchases by way of competitive tender; - competitors that know each other well through social contact, trade associations, shifting employment or other legitimate activities; - companies with immature
corporate governance systems which fail to pay sufficient attention to
compliance issues; - price or margin increases in a depressed market; - unexplained reluctance to compete
on price and / or in particular areas and / or in respect of particular products; - unexplained reluctance to increase output; - unexplained pricing or market share stability in a previously volatile market; and - regular unexplained parallel price increases.
Terri has advised clients
on the full range of issues that funds and their Boards encounter day - to - day including
corporate governance and
compliance matters, Section 15 (c) contract approvals and disclosure issues.
He also advises
corporate boards and management before the U.S. Securities and Exchange Commission
on corporate governance issues, including Sarbanes - Oxley
compliance and regulatory matters.