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Designing an Effective Securities and Corporate Governance Compliance Program will keep you up-to-date with new developments in securities compliance in light of the Sarbanes-Oxley Act. It provides guidance for corporate counsel and private practitioners in the creation and maintenance of an effective securities law compliance program, including discussion of applicable law, audit committees, liability, and disclosure and filing requirements. It also:
This comprehensive volume also provides proven suggestions for convincing management to accept and support the programs, guidelines for auditing compliance programs, and actual examples that pave the way for smooth implementation of compliance programs.
Enter replacement volume, chapter and page numbers separated by commas. For example: Volume 2, Chapter 5, Pages 7, 12-19. Please limit requests to 25 pages or less. If you are located outside the United States or for more than 25 pages please contact Customer Service 1-800-328-4880.
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