2016 Regulation Review and 2017 Preview As 2016 comes to an end, the financial services industry is facing an increasingly vigilant regulatory landscape. This white Paper examines the key trends to watch in the new year. Learn more now!
Preventing a Legal Hold Wildfire This updated report has tips and tricks to help you manage your legal holds and gives counsel the starting points they need to make their own strategies for navigating legal holds.
Fiduciary Duties Overview Protect your company and its shareholders by educating directors with an overview of their fiduciary duties and the potential consequences, both personal and for the business, of breaching those duties.
Employee Termination: Best Practices This resource addresses key issues for employers to consider when terminating an employee. It also provides best practices to minimize claims of wrongful discharge by former employees and maximize employers' ability to defend against claims filed.
Common Arbitration Misconceptions More parties and attorneys would opt for arbitration over litigation if misconceptions about the arbitral process were shattered. This white paper discusses what not to believe about arbitration.
Become the Best C&E Professional You Can Be The Society of Corporate Compliance and Ethics is the premier association of the industry's top C&E professionals. Each year, the SCCE's Compliance & Ethics Institute brings the brightest and the best together to improve individually and industry-wide. Hear a sampling from a few of the speakers and what the conference offers.