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Global Incident Response: Managing Cyber Incidents Impacting Global Enterprises


Level: Intermediate
Runtime: 45 minutes
Recorded Date: December 07, 2023
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Agenda

  • Coordination Challenges
  • Strategic Takeaways
  • Allocation of Incident Response Responsibility
  • Approaching Local Counsel
  • Sanctions
  • Personal Liability Concerns
  • The Role of Auditors
  • Balancing Compliance with Resource Allocation
  • Takeaways

For NY - Difficulty Level: Both newly admitted and experienced attorneys

Description

Global enterprises dealing with global incidents require efficient communication, coordination, and testing of incident response protocols across different jurisdictions to manage and adhere to regulatory mandates effectively. An expert panel discusses coordinating responses across various markets, addressing challenges stemming from differing priorities, and proactively testing incident response processes.

Key considerations include ensuring effective communication and alignment across international teams, engaging with local counsel to understand jurisdictional obligations, navigating sanctions risks through collaboration and evidence analysis, and involving executives in incident response discussions. Moreover, legal counsel plays a crucial role in advising on lawful actions, emphasizing the importance of cybersecurity preparation, executive involvement, and careful alignment with auditors to navigate complex scenarios and mitigate regulatory scrutiny effectively.

Provided By

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Panelists

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Jarno Vanto

Partner
King & Spalding

Jarno Vanto is a Partner in our Data, Privacy and Security practice. Due to his extensive international regulatory experience, he is frequently called upon by his clients to provide a differentiated global perspective regarding privacy, cybersecurity, corporate and technology related matters.
Jarno partners with his clients on key business issues spanning privacy and cybersecurity regulatory compliance and investigations, complex cross-border technology and data transactions, data and software licensing, and other technology and data transfer agreements. He counsels clients regarding global privacy and cybersecurity compliance programs, corporate restructuring for venture finance and IP management. His experience spans the full scope of privacy laws, including GDPR and CCPA. He provides privacy compliance counseling to companies that provide software-as-a-service, data-as-a-service, automotive and connected vehicle technologies, mobile applications, location-based technologies, financial services, server technologies, HR services, and healthcare technologies. He regularly advises global corporations on the legal issues they encounter operating in the U.S. market.
Jarno frequently advises private equity funds and their portfolio companies on privacy due diligence and transactions involving companies whose core business is regulated data. Multinationals rely on Jarno’s expertise in connection with group cross-border data transfer frameworks.
Jarno holds CIPP/US and CIPP/E certifications.

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James Lloyd

Partner
Latham & Watkins

James Lloyd helps clients navigate a wide range of cybersecurity and privacy-related matters.
Mr. Lloyd is an experienced litigator and investigations lawyer who represents and advises clients on cybersecurity and privacy-related matters, including:
  • Regulatory and internal investigations
  • Incident response and cybersecurity resiliency
  • Commercial disputes

Mr. Lloyd leads responses to significant enforcement investigations by international and domestic regulators, including the UK’s Information Commissioner’s Office, law enforcement agencies, and Parliamentary Select Committees. He draws on extensive litigation experience to defend clients when data privacy issues lead to disputes. Understanding what matters to regulators and the courts is at the heart of Mr. Lloyd’s approach to helping clients understand the privacy and enforcement implications of innovative data use-cases.

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Sean Hoar

Partner
Constangy, Brooks, Smith & Prophete

Sean, a partner in the Portland office, serves as chair of the Constangy Cyber Team. His background includes almost 25 years of experience with data privacy and information security matters. He is a former cyber attorney for the U.S. Department of Justice where he served as the lead cyber attorney for the U.S. Attorney's Office in Oregon, and worked with the Computer Crime & Intellectual Property Section in Washington, D.C. During that time, he worked closely with the FBI, the Secret Service, and other federal agencies in prosecuting complex white collar and high-tech cybercrime. Sean was also honored twice with the Director’s Award, one of the highest awards bestowed upon Assistant U.S. Attorneys. He has been recognized for his leadership in the data privacy and cybersecurity space, having been named by the Cybersecurity Docket as one of the best and brightest data breach response lawyers in the United States. His credentials include being a Global Information Security Professional (GISP), a Certified Information Systems Security Professional (CISSP), and a Certified Information Privacy Professional for United States law (CIPP/US). In managing the national Constangy Cyber Team, Sean continues to manage responses to complex data breaches, and works with information security personnel and corporate executives in managing and mitigating cyber risk.


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