The Association of Corporate Counsel (ACC) is the world's largest organization serving the professional and business interests of attorneys who practice in the legal departments of corporations, associations, nonprofits and other private-sector organizations around the globe.
Join us as we delve into the intricacies of creating a CMMC compliance program from scratch. Industry experts will share their experiences and lessons learned, providing valuable insights and practical strategies for achieving and maintaining compliance. Don't miss this opportunity to gain the knowledge and tools necessary for success in your CMMC journey.
Gain a comprehensive understanding of CUI, its scope, and the critical role it plays in protecting national security and sensitive business information.
This session will equip you with the knowledge and best practices necessary to effectively protect CUI. Explore the legal and regulatory framework surrounding CUI, including NIST guidelines and DoD-specific requirements.
Join us to unlock the secrets of CUI and acquire the tools needed to mitigate risks, fortify defenses, and ensure compliance. Don't miss this opportunity to stay ahead and ensure your data is secure.
Gain a comprehensive understanding of CUI, its scope, and the critical role it plays in protecting national security and sensitive business information.
This session will equip you with the knowledge and best practices necessary to effectively protect CUI. Explore the legal and regulatory framework surrounding CUI, including NIST guidelines and DoD-specific requirements.
Join us to unlock the secrets of CUI and acquire the tools needed to mitigate risks, fortify defenses, and ensure compliance. Don't miss this opportunity to stay ahead and ensure your data is secure.
Learn how to apply various compliance standards globally in a simplified manner. Our panel members will explore a variety of compliance policies, and discuss the highest common requirement to be applied globally. With a focus on streamlining global policy and overriding risks across a wide swath of industries, we will cover such compliance topics as personal data protection and privacy, global investigations, business ethics and anti-corruption, healthcare & safety, and finance industry.
Learn how to apply various compliance standards globally in a simplified manner. Our panel members will explore a variety of compliance policies, and discuss the highest common requirement to be applied globally. With a focus on streamlining global policy and overriding risks across a wide swath of industries, we will cover such compliance topics as personal data protection and privacy, global investigations, business ethics and anti-corruption, healthcare & safety, and finance industry.
Compliance is not what it used to be. COVID-19, a rise in nationalism, the embracing of the digital world, and constantly changing employee needs and expectations has forced legal compliance beyond the borders of regulations and antitrust. Join this program to learn more about compliance's new look in Asia and how in-house counsel are expected to manage the ever-changing landscape. This session will include a live Q&A with the panelists.
CLE/CPD credit is not available for individual on-demand courses. To earn CLE/CPD credit, please attend a FREE eligible Upcoming Live Program or purchase an eligible Self-paced Course.
With the leadership of the two federal antitrust agencies, the Federal Trade Commission and the U.S. Department of Justice's Antitrust Division, now fully in place and the agency heads announcing major shifts in thinking as they implement significant changes in practice and policy, the antitrust enforcement landscape has become less transparent and therefore far less predictable. What does this mean for businesses trying to navigate the antitrust enforcement landscape? How do these changes impact small businesses in particular? How do businesses best avoid finding themselves in the agencies crosshairs? And, what's nextâwill the agencies continue their aggressive enforcement despite several recent setbacks in the courts? And, will the agencies' changes ultimately have any long-term impact on U.S. antitrust enforcement policy? Four former FTC and DOJ Antitrust Division agency heads, two from Republican administrations and two from Democratic administrations, offer their thoughts and predictions in this not-to-be-missed program.
In this module, you will discover what an effective compliance and risk management program comprises, and how to build and maintain one. Plus, you will:
Learn how to implement and maintain monitoring mechanisms and audit plans
See the implications of compliance reporting channels, e.g., reports to the general counsel/chief legal officer vs. reports to the chief compliance officer
Understand how experienced in-house counsel respond to regulators' requests and calibrate information disclosure
In this module, you will discover what an effective compliance and risk management program comprises, and how to build and maintain one. Plus, you will:
Learn how to implement and maintain monitoring mechanisms and audit plans
See the implications of compliance reporting channels, e.g., reports to the general counsel/chief legal officer vs. reports to the chief compliance officer
Understand how experienced in-house counsel respond to regulators' requests and calibrate information disclosure
Despite increased focus on environmental, social, and governance (ESG) from investors, employees, and stakeholders, conventional ESG criteria often fails to adequately address the spectrum of social and governance risk facing an organization, including bribery, corruption, and integrity risks. ESG strategies and commitments are incomplete and can be ineffective without an integrated and fit-for-purpose anti-bribery and corruption (ABC) compliance program. In this session, and international panel will identify common bribery and corruption risks and provide examples of corporate and individual violations of law
Due to the nature of its content, this on-demand program is not eligible for CLE/CPD credit.