Attention:
Card image cap

Connecticut (CT) Corporate Compliance CLE Course Catalog

Explore our entire library of CLE courses. Search the whole catalog or filter courses by state, practice area, provider, credit type, and format

Sort by

All CLE Courses For Connecticut (CT) Corporate Compliance

Card image cap
43 minutes
cc
The SEC's Scrutiny of Asset Managers - Key Developments for Broker-Dealers, Private Funds and Hedge Funds
Financial firms are under heightened scrutiny from the SEC, facing investigations and potential penalties for violations related to off-channel communication, recordkeeping and other matters. Expert panelists discuss proactive measures for asset managers and others in cooperating with the SEC to reduce penalties.

Securities Docket

$75

Add to Cart
Card image cap
44 minutes
cc
Issuer Disclosure and Financial Reporting
Cooperation, robust internal controls, and a culture of compliance are key to preventing accounting fraud, as discussed by expert panelists from the SEC and the private sector. Effective communication and cooperation are vital in navigating investigations, empowering gatekeepers, and setting an example for other firms.

Securities Docket

$75

Add to Cart
Card image cap
46 minutes
cc
Best Practices for Handling a Major Internal Investigation or Corporate Crisis
An expert panel including counsel from the SEC discusses how managing a corporate crisis or major internal investigation requires a delicate balance of assessing the impact on disclosure and regulators and engaging with various stakeholders. Auditors play a crucial role in assessing evidence, collaborating with boards/counsel, and navigating independence issues.

Securities Docket

$75

Add to Cart
Card image cap
40 minutes
cc
Whistleblowers – Their Impact on Corporations and SEC Enforcement
Join us as experts discuss the SEC’s Whistleblower Program and recent whistleblower awards. Panelists give recommendations on handling whistleblower complaints and rules against retaliation. Discussion of UBS, Activision, and Brinks cases.

Securities Docket

$75

Add to Cart
Card image cap
45 minutes
cc
Whistleblowers and SEC Enforcement - The Impact on Corporations
Whistleblower activity is on the rise, prompting increased scrutiny and enforcement by the SEC, further encouraging individuals to report, leading to record-breaking awards. Experts discuss how companies should take whistleblower concerns seriously, cooperate with the SEC, and avoid retaliation.

Securities Docket

$75

Add to Cart
Card image cap
64 minutes
cc
SEC Regional Directors Panel Discussion
In this featured panel from the annual “Securities Enforcement Forum Central” event, SEC Regional Directors from five different offices stress the significance of cooperation, compliance, and enforcement actions to safeguard investors and tackle industry shortcomings. The Directors discuss their roles, discussing the importance of cooperation and recent SEC priorities.

Securities Docket

$75

Add to Cart
Card image cap
48 minutes
cc
How to Handle a True Corporate Crisis or Major Internal Investigation
It is critical for companies to handle internal investigations diligently, ensuring they're independent and cooperative. Expert panelists recommend communicating openly with the SEC and how to find the right balance when being transparent with findings.

Securities Docket

$75

Add to Cart
Card image cap
60 minutes
cc
Deploying Technology to Meet Compliance and ESG Demands
The increasing demand for transparency, ethical practices, and sustainable operations poses unique challenges with regulatory compliance and environmental, social, and governance (ESG) requirements for businesses across various industries. This session will highlight how cutting-edge technology is pivotal in helping organizations tackle the multifaceted challenges of customs-related traceability issues, product import regulations, and compliance with the landmark Universal Labor and Fair Business Act.

LWNY 2024

$65

Add to Cart
Card image cap
59 minutes
cc
Guiding Your Organization Through Corporate Investigations
When your organization goes through an internal investigation, this is the moment of truth for your legal and compliance program and where the work really happens. It is critical that, as soon as allegations come to light, the company decides decisions are made about whether to investigate, who should direct and conduct the investigation, the goals and scope of an investigation, and whether a report will be issued, and how to best prepare the company for a potential investigation by a government agency. This session will set forth a framework of best practices and key considerations for effective internal investigations, including the need for disclosure to and coordination with auditors, regulators, and others.

Women, Influence & Power in Law Conference

$65

Add to Cart
    s