Find upcoming presentations, industry seminars, conference appearances, CPE events, and symposiums near you!
Read on for some takeaways from the ABA Regulatory Compliance Conference for your institution’s compliance and management teams to consider.
In May 2019, we released the article The Question Every Community Banker Is Asking: Are You Ready for CECL? in anticipation of CECL’s original effective date.
U.S. Auto Dealerships will be required to comply with the Federal Trade Commission’s (FTC) amended safeguards rules (Code of Federal Regulations Part 314.1 – 314.6).
The 340B Program faces ongoing challenges and opportunities as the year progresses. Read on for a recap of headlines that have emerged affecting the program.
The U.S. Supreme Court has ruled that HHS wrongly lowered Medicare reimbursement rates for 340B outpatient drugs. Read on for more details.
It is no secret that 2021 was an historic year for mergers and acquisitions (M&A). Harvard Law School Forum on Corporate Governance recently noted that records were broken in M&A volume and the number of M&A transactions both in the U.S…
Last week the inflation numbers came out and Sen. Joe Manchin decided he wanted to see what inflation numbers continue to do before moving forward with a reconciliation package, perhaps in September.
Bittner v. United States, a case now before the U.S. Supreme Court, concerns how to calculate penalties for taxpayers with nonwillful FBAR violations. Read on for details.
This year’s national CFMA conference covered several topics affecting the construction industry, including tax legislation and fraud prevention.
Financial institution’s audit plans must be responsive to risks such as errors, misstatement, and fraud.