Seminar  Seminar

Advanced Compliance and Ethics Workshop 2012


Why you should attend

Never in the history of criminal or corporate law has the existence of an effective compliance and ethics program been more valuable to an organization. The enormity of recent criminal fines, the aggressive enforcement of criminal laws against organizations, the extent to which criminal authorities around the world are working together, the risks of civil liability, and the startling speed of communication and the attendant transparency of corporate conduct have together created an environment where the misconduct of employees is more harmful to organizations than ever before. Compliance and ethics programs have become a necessary tool to manage the substantial risks posed by employee misconduct and to assist organizations in grappling with violations when they occur.

Of course, economic conditions continue to create a host of challenges for compliance programs, but they have not diminished government expectations. Indeed, at no time has promoting and maintaining an ethical corporate culture been as challenging and as essential for a company’s survival and success as it is today. At the Advanced Compliance and Ethics Workshop, a distinguished faculty, drawn from major corporations, ethics organizations, law firms, academia, and the government, will give you the tools you need to advance an effective compliance and ethics program. The leading experts in the field will discuss current developments, heightened standards, and practical tips on how to ensure that your company’s compliance and ethics program satisfies the rigorous new standards. Learn about the latest and greatest in the areas of risk assessment, program structure and management, compliance and ethics training and other communications, auditing and monitoring, helpline procedures and implementation, and how to keep senior management and the board informed about and supportive of the program.

What you will learn

  • Measuring the health of your program: ways to give your program a check-up
  • How to satisfy the revisions to the Sentencing Guidelines’ definition of an effective compliance and ethics program
  • Implications of the whistleblower provisions of the Dodd-Frank Act
  • The UK Bribery Act, the OECD’s compliance program guidance and other critical international developments
  • Recent developments in compliance and ethics, including Delaware case law on the Board’s duties of oversight and higher expectations for reporting on and documenting your program
  • Do more with less - adding value to your program despite budgetary constraints
  • How to conduct and design compliance risk assessments to obtain the most valuable information
  • Creating a training and communications strategy that meets your organization’s needs but doesn’t break your budget
  • How to perform effective compliance audits

Who should attend

This Workshop is designed specifically for experienced compliance officers and other compliance professionals, and attorneys and staff with compliance program responsibilities.

Day One:  9:00 a.m. - 5:00 p.m.

Morning Session:  9:00 a.m. - 12:30 p.m.

9:00  The Elements and Characteristics of an Effective Compliance and Ethics Program

Jeffrey M. Kaplan, David G.Wilkins

9:15  Recent Developments and What to Expect in 2013 and Beyond

  • UK Bribery Act, FCPA enforcement and other anti-corruption compliance developments
  • Significant whistleblower cases
  • Learnings from recent  case law
  • The latest guidance from deferred prosecution agreements and other settlements
  • Other regulatory standards and guidance

Paul E. McGreal

10:15  Management and Oversight of Compliance Programs

A. Program Structure
  • The importance of compliance officer positioning
  • Leveraging relationships with HR, Internal Audit, Security and other compliance-related functions
  • Creating the right level of independence and authority for your program

B. Interactions with the Board

  • What information does the Board need to know? How often should they get it?
  • How to help your Board help you in creating and maintaining a robust program
  • The relationship between the compliance manager or director and the board

Andrea Bonime-Blanc, Matthew O. Tanzer

11:15  Networking Break

11:30  Effective Training and Communications Strategies

  • What training and communications approaches are most effective? 
  • Approaches for training managers and supervisors
  • Measuring the impact of training

Leslie Altizer, Jacqueline E. Brevard

12:30  Luncheon Presentation - Compliance in an Age of Re-Regulation: A Judge's Perspective

Judge Jed S. Rakoff

Afternoon Session:  1:45 p.m. - 5:00 p.m.

1:45  Measuring the Health of Your Program: Ways to give your program a check up

A. Culture
  • What cultural factors are important to compliance
  • Measuring and moving your company’s compliance culture
B. Auditing
  • Best practices in compliance auditing
  • Working with Internal Audit
C. Program Assessment
  • How to test if your program is working
  • Using metrics to advance your program

Jeffrey M. Kaplan, David G. Wilkins

2:45  Third Party/Supply Chain/Due Diligence

  • Identifying  the risks that third parties create to your organization
  • Good practices in due diligence
  • Auditing third parties
  • Training and communicating with third party employees

Mechelle Weidner-Hill, Elizabeth R. Weiss

3:45  Networking Break

4:00  Global Programs and Concerns
  • How to avoid having your program be too “US-centric”
  • Effective global compliance program structures
  • Compliance practices that resonate around the world
  • Helplines and investigations around the globe
Adrian D. Mebane, Joseph E. Murphy

5:00  Adjourn

Day Two:  9:00 a.m. - 12:30 p.m.

Morning Session:  9:00 a.m. - 12:30 p.m.

9:00  Effective Compliance Risk Assessment:  Getting the Most from Your Program
  • Efficient and practical risk assessment practices
  • Who should be involved
  • Tying the results to program improvements
  • Reporting on your risk assessment

E. Scott Gilbert, Patti E. Russell

10:00  Enhancing Helpline and Reporting Procedures and Conducting Investigations

  • Drafting helpline and investigation protocols
  • Communicating with employees about helplines and investigations
  • Responding to Dodd-Frank’s whistleblower provisions
  • Best practices in handling investigations, including maintaining independence
  • Legal and ethical concerns

Tim Coleman, Michael I. Kim

11:15  Networking Break

11:30  Conflicts of Interest and Gifts and Entertainment:  Risks and Compliance Measures

  • Drafting workable policies
  • Approval procedures
  • Questionnaires and certifications
  • Balancing competing interests

Douglas A. Doty, Frank Geovannello

12:30  Adjourn

Co-Chair(s)
Jeffrey M. Kaplan ~ Kaplan & Walker LLP
David G. Wilkins ~ Director, Ethics & Compliance, The Dow Chemical Company
Speaker(s)
Leslie Altizer ~ Director, Compliance and Ethics Leadership Council, Corporate Executive Board
Andrea Bonime-Blanc ~ Former Senior Vice President, Global Corporate Responsibility & Risk Management, Verint Systems Inc.
Jacqueline E. Brevard ~ Retired Vice President and Chief Ethics Officer Merck & Co., Inc.,
Tim J. Coleman ~ Freshfields Bruckhaus Deringer US LLP
Douglas A. Doty ~ Compliance Officer, Siemens Industry, Inc.
Frank Geovannello ~ Manager, Compliance Services, Altria Client Services
E. Scott Gilbert ~ Senior Vice President, Chief Risk and Compliance Officer, Marsh & McLennan Companies, Inc.
Michael I. Kim ~ Senior Director, Compliance, Celgene Corporation
Paul E. McGreal ~ Dean and Professor of Law, University of Dayton School of Law
Adrian Mebane ~ Director, Ethics & Compiance Group, Weatherford International Ltd.
Joseph E. Murphy ~ Director of Public Policy, Society of Corporate Compliance and Ethics
Hon. Jed S. Rakoff ~ U.S. District Judge, United States District Court, Southern District of New York
Patti E. Russell ~ Vice President and Chief Ethics and Compliance Officer, Becton Dickinson and Company
Matthew O. Tanzer ~ Vice President and Chief Compliance Officer, Tyco International
Mechelle Weidner-Hill ~ The Dow Chemical Company
Elizabeth R. Weiss ~ Senior Corporate Counsel and Chief Compliance Counsel for Global Manufacturing and Supply, Pfizer, Inc.
Program Attorney(s)
Meghan K. Carney ~ Program Attorney, Practising Law Institute

New York City Seminar Location

PLI New York Center, 810 Seventh Avenue at 53rd Street (21st floor), New York, New York 10019. Message Center, program days only: (212) 824-5733.

New York City Hotel Accommodations

The New York Hilton & Towers, 1335 Avenue of the Americas, New York, NY 10019. 1 block from PLI Center. Reservations 1-800-HILTONS or, 1-877-NYC-HILT. Please mention that you are booking a room under the Practising Law Institute Corporate rate and the Client File # is N495741. Reservations on line at www.hilton.com and enter the same Client File # in the Corporate ID # field to access Practising Law Institute rates.

The Warwick New York Hotel, 65 West 54th Street New York, NY 10019. 1 block from PLI Center. Reservations 800-223-4099 or, hotel direct 212-247-2700. Please mention that you are booking a room under the Practising Law Institute Corporate rate. Reservations on line at www.warwickhotelny.com Click reservations in menu bar on left. Select desired dates. In 'Special Rates' drop down window select Corporate Rate. In 'Rate Code' enter PLIN. Click search and select desired room type and rate plan. Or, you may email reservation requests to: res.ny@warwickhotels.com.

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Special Note: In New York, newly admitted attorneys may receive CLE credit only for attendance at "transitional" programs during their first two years of admission to the Bar. Non-traditional course formats such as on-demand web programs or recorded items, are not acceptable for CLE credit. Experienced attorneys may choose to attend and receive CLE credit for either a transitional course or for one geared to experienced attorneys.  All product types, including on-demand web programs and recorded items, are approved for experienced attorneys.

Please note: The State Bar of Arizona does not approve or accredit CLE activities for the Mandatory Continuing Legal Education requirement.

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Credit will be granted only to the individual on record as the purchaser unless alternative arrangements (prearranged groupcast) are made in advance.

Related Items

Live Seminars  Live Seminars

Advanced Compliance and Ethics Workshop 2013 (San Francisco, CA) Nov. 18 - 19, 2013
Advanced Compliance and Ethics Workshop 2013 (New York, NY) Oct. 24 - 25, 2013

Handbook  Course Handbook Archive

Advanced Compliance and Ethics Workshop 2013  
Advanced Compliance and Ethics Workshop 2012 David G. Wilkins, The Dow Chemical Company
Jeffrey M. Kaplan, Kaplan & Walker LLP
Rebecca Walker, Kaplan & Walker LLP
 
Item# 35553
Location:  New York, NY
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Seminar attendance includes course handbook and associated course materials. A downloadable course handbook will also be available several days prior to the program start for your review.