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Hospitality Industry: Mediation of Golf Industry Disputes Alert - January 31, 2012

Golf clubs and their developers, owners, builders, operators, managers and members are still taking their disputes to court to duke, or "club" it out. This trend continues even when there are readily available options to full-blown litigation, such as alternative dispute resolution (ADR).

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Securities & Financial News to Note : Bulletin - February 6, 2012

This bulletin is published every other week on Monday and is disseminated via electronic mail. It features brief summaries of current legal developments in the SEC/corporate, accounting/tax, banking, litigation, as well as other business and financial service areas when appropriate.

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Articles & White Papers
Compliance Services

Court Expands Duty to Corporate Officers and General Counsel to Implement Compliance and Ethics Programs
 

Compliance and Ethics Magazine

October 1, 2008
 
Michael Mannix- Northern Virginia
Christopher Myers- Northern Virginia

In light of the recent Miller v. McDonald, et. al. decision, senior management must take steps to ensure that appropriate compliance program structures and activities are in place and operating or risk that corporate officers, and, in particular, the general counsel, can be held personally liable for corporate fraud and related wrongdoing. Please click on the link below to view the article.

This article, published in the October 2008 issue of Compliance and Ethics, appears here with permission from the Society of Corporate Compliance and Ethics.

READ: Court Expands Duty to Corporate Officers and General Counsel to Implement Compliance and Ethics Programs

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