Minimize Risk Exposure: Strategies for Leading Internal Investigations
Actions by a rogue employee, a coordinated scheme, or a systemic problem left unidentified and unchecked can result in a violation of company policy, or worse, the law. These legal and regulatory compliance vulnerabilities pose significant risk, cost and disruptions to business. And companies operating internationally face added complexity and strategic considerations, ranging from protection of attorney-client privilege to transferring data to the U.S.
This webinar will bring together the latest insights from experienced in-house counsel and law firm practitioners on what domestic and multinational companies need to know about the process of investigating allegations of fraud, theft, misconduct, harassment, misuse of personal information, and other wrongdoing. Experts will share firsthand knowledge and best practices to investigate and address compliance issues to mitigate the burdens on the company’s bottom line.