Background - News & Events (Landing) 2016
Past Events

Identifying High Compliance Risks - Compliance under the New Sentencing Guidelines

March 28, 2006 • Washington, DC

What is the role of the lawyer in preventing corporate fraud? How was this role changed by Sarbanes-Oxley and the new Sentencing Guidelines?

Our experts will examine the procedural, cultural, and ethical challenges that attorneys face when identifying and mitigating compliance risks and setting up a corporate compliance program.

Attend this program to discover tips and traps from both experienced private practitioners and corporate compliance insiders. After this program, you will be able to:

  • Assess the compliance risks of a particular organization 
  • Develop strategies to create a culture of compliance in a multinational defense company 
  • Structure internal controls to ensure compliance 
  • Recognize design elements critical to an effective compliance training program 
  • Analyze ethical problems that compliance attorneys must overcome 

Crowell & Moring Participant:

Dick Bednar will be a part of the program faculty for the CLE accredited webinar hosted by the ABA.

Email Twitter LinkedIn Facebook Google+