Compliance

Consequences of a Data Breach: Lessons from Wyndham Worldwide

Consequences of a Data Breach: Lessons from Wyndham Worldwide

Between 2008 and 2010, Wyndham was subject to three data breaches, exposing more than 600,000 of its consumers and leading to millions in fraud loss. Its shareholders filed action against the Board earlier this year, alleging negligence, and a decision (dismissal) was reached in late October. Though Wyndham's leadership was not ultimately held liable in this case, there's much to...

Q&A With Roy Snell, CEO of HCCA and SCCE

Q&A With Roy Snell, CEO of HCCA and SCCE

CCI's Founder and CEO, Maurice Gilbert, recently connected with Roy Snell, CEO of he Health Care Compliance Association and the Society of Corporate Compliance and Ethics. Roy had some excellent insights to share on the state of the compliance profession, and when an expert with experience and credentials such as his weighs in, we sit up and take notice.

Does Your Compliance Policy Matter to the Antitrust Division?

Does Your Compliance Policy Matter to the Antitrust Division?

It appears the Department of Justice may be changing its tune on what makes an "effective" compliance program. Recent statements by authorities at the DOJ's Antitrust Division signal a shift in tone for the agency, toward leniency and away from a strict, hard-line approach. Read more about the apparent change here and what it could portend for your organization.

Criminal Liability of Legal Entities in Ukraine: Law in Action or Another Failed Attempt?

Criminal Liability of Legal Entities in Ukraine: Law in Action or Another Failed Attempt?

Ukraine has certainly had its share of difficulty in dealing with corruption. Among its challenges has been the apparent stunted attempt at holding legal entities criminally liable for their representatives' wrongdoing. Though legislation was put in place nearly 18 months ago establishing the criminal liability of legal entities, no enforcement in this vein has yet been handed down.

SEC’s Office of the Whistleblower Releases Annual Report

SEC’s Office of the Whistleblower Releases Annual Report

The Securities and Exchange Commission's Office of the Whistleblower has recently released its annual report for fiscal year 2014. Highlights of the report include: The SEC issued more whistleblower awards in fiscal 2014 than all previous years combined, including a record $30 million award to a foreign whistleblower. The first anti-retaliation case was brought against a hedge fund that retaliated...

Don’t Get Testy with Salespeople

Don’t Get Testy with Salespeople

When you go to hire sales staff, keep in mind that no test can give you a clear picture of their abilities or hint at the successes they can achieve for your company. For salespeople, the best predictor of future results actually does lie in past performance. Linda Henman outlines today exactly why you shouldn't give prospective sales hires assessment...

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