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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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Financial Institutions: Alert - January 31, 2012

The Dodd-Frank Wall Street Reform and Consumer Protection Act impacted many investment advisers who previously were not registered.

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Articles & White Papers

An Overview of Select International Tax Compliance Issues & Solutions for U.S. Taxpayers in Violation
 

LISI Estate Planning Newsletter #1507

August 18, 2009
 
Kevin E. Packman- Miami

In March 2009, the Internal Revenue Service declared a six-month settlement period where taxpayers with unreported offshore accounts could come forward to resolve their issues with minimal penalties. As the September 23 closing date approaches, the author advises taxpayers to contact their tax advisor immediately to benefit from the settlement terms. In addition to describing the settlement initiative, the article discusses some of the most commonly overlooked informational filings by U.S. taxpayers and the penalties for doing so. To read the full article, please click the link below.

READ: An Overview of Select International Tax Compliance Issues & Solutions for U.S. Taxpayers in Violation

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