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Great Women in Compliance

Great Women in Compliance: Erica Salmon Byrne – Building a Legacy of Ethical Value

In this episode of Great Women in Compliance, Hemma visits with Erica Salmon Byrne, Chief Strategy Officer and Executive Chair of Ethisphere. Having long admired Ethisphere for its commitment to advancing business integrity in a meaningful way, Hemma invites Erica to share how her organization backs that up with research, data from industry benchmarking and culture assessments, and the creation of a strong compliance community. Erica shares her ethics and compliance origin story and critical insights on building a legacy of ethical value and business integrity.

Highlights include the compliance value creation story and how not to be merely a cost center, how to stay outcome-driven rather than activity-based, what we can learn from decades of data on measuring culture, the crucial role of managers in ethics and compliance, the meaning of an employee-centered approach and treating employees as tangible assets, and the power of community in compliance.

Erica is the Chief Strategy Officer and Executive Chair for Ethisphere, the global leader in defining and advancing the standards of ethical business practices that fuel corporate character, marketplace trust, and business success. In this role, Ms. Salmon Byrne oversees product strategy and M&A initiatives for the company while advancing Ethisphere’s founding ethos—that businesses that focus on the long term, commit to doing business with integrity, and invest in their stakeholder communities will outperform their peers.

Erica is also the Chair of the Business Ethics Leadership Alliance (BELA), where she works with the BELA community to advance dialogue, collaboration, and best practices around ethics and governance.

Over her tenure at Ethisphere, Erica has held several roles, including overseeing Ethisphere’s products and solutions, including data-driven program assessments; The Sphere, which offers benchmarking against peers and best practices, along with expertise and related regulatory guidance; ethical culture assessments; and the World’s Most Ethical Companies. To learn more about Ethisphere’s work, visit www.ethisphere.com

A prolific public speaker, Erica is known throughout the ethics and compliance industry as a leader, educator, and advocate for ESG, values-based leadership, and business integrity. In 2022, she was recognized as a Modern Governance 100 Leader by governance firm Diligent. Erica has been featured in the Wall Street JournalThe Washington PostFast CompanyForbes, SXSW, and various ethics and compliance publications and podcasts.

You can join the LinkedIn podcast community. Join the Great Women in Compliance podcast community here.

Resource:

2024 Ethical Culture Report: Closing the Speak Up Gap

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Compliance Into the Weeds

Compliance into the Weeds: The Supreme Court and Compliance

The award-winning Compliance into the Weeds is the only weekly podcast which takes a deep dive into a compliance related topic, literally going into the weeds to more fully explore a subject. Looking for some hard-hitting insights on compliance? Look no further than Compliance into the Weeds! In this episode, Tom Fox and Matt Kelly take a deep dive, analyzing term-ending Supreme Court decisions from a compliance perspective.

They address the Jarkesy decision on SEC in-house tribunals, the Loper ruling overturning the Chevron deference doctrine, and the Snyder decision that narrows the scope of federal anti-corruption law. Despite the headlines, they conclude that these rulings have minimal direct impact on corporate compliance programs, emphasizing the ongoing importance of ethical integrity and effective compliance practices.

Key Highlights:

  • Supreme Court Cases Impacting Compliance
  • The Jarkesy Decision: Minimal Impact on Compliance
  • The Loper Case: Chevron Deference Overturned
  • The Snyder Decision: A Controversial Ruling
  • Implications and Final Thoughts

Resources:

Matt on Radical Compliance

Tom 

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Principled Podcast

Principled Podcast: S11E8 | Bridging Global Standards: Navigating Compliance and Ethics in Japan

In this episode of the Principled Podcast, host Amy Hanan, LRN’s Chief Marketing Officer, is joined by Ayumi Kijima, Head of Group Compliance at ORIX, headquartered in Tokyo. This episode examines the evolving landscape of global compliance programs in Japan and internationally and how organizations like ORIX Group are shaping them to meet the challenges of a rapidly changing business environment while staying true to their core values.

Guest: Ayumi Kijima

Principled Podcast - Season 11 Episode 8 - Ayumi Kijima

Ayumi Kijima works at ORIX Corporation as its Assistant General Counsel and Head of Group Compliance, designing, implementing, and overseeing the compliance program for the ORIX Group companies in Japan and overseas. Before joining ORIX Corporation, Ayumi worked as an Associate at the Tokyo office of Squire Patton Boggs. She is qualified to practice law in California.

Host: Amy Hanan

Principled Podcast - Season 11 Episode 8 - - Amy Hanan

Amy Hanan is the chief marketing officer at LRN. Amy, a B2B digital marketing leader, has a nearly 20-year track record in product, brand, lifecycle, and demand-generation marketing and corporate communications for media, professional services, and technology companies. One of her central areas of expertise is executing tech-enabled marketing initiatives for growth. Before joining LRN, Amy was the chief digital officer at Baretz+Brunelle, a marketing and communications agency serving the legal and financial services industries. Her previous experience includes Reorg Research, ALM Media, and The Associated Press. She holds a Bachelor of Arts degree from Northern Arizona University.

Get a copy of the Japan edition of LRN’s 2024 Ethics & Compliance Program Effectiveness Report.

Connect with the Compliance Podcast Network at:

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Facebook: https://www.facebook.com/compliancepodcastnetwork/
YouTube: https://www.youtube.com/@CompliancePodcastNetwork
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Website: https://compliancepodcastnetwork.net/

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Trekking Through Compliance

Trekking Through Compliance – Episode 38 – Ethical Lessons from Metamorphosis

In this episode of Trekking Through Compliance, we consider the episode Metamorphosis, which aired on November 10, 1967, and occurred on Star Date 3219.4.

Commissioner Nancy Hedford, who had been on a diplomatic mission to stop a war, is ill with Sicuro’s disease and needs treatment aboard the Enterprise. The shuttlecraft is forced down on a small planetoid, and Kirk cannot contact the Enterprise despite the communications equipment functioning perfectly. On the planet, they find a man named Cochrane, who claims he has been marooned but has a being known as the Companion.

Cochrane is greatly disturbed by the knowledge that the Companion is in love with him and storms out, saying he doesn’t want to be “fodder for any inhuman monster.” Hedford, in a feverish daze, remarks that it is strange that Cochrane runs from love while she has never had the opportunity to be loved. But the Companion occupies and cures the body of Commissioner Hedford, who had been on the verge of death and restores the shuttlecraft and communication devices to working order. However, the Companion cannot leave the planet without dying, and Cochrane decides to remain with her. As they prepare to depart, Kirk agrees not to mention his adventure with Cochrane.

Commentary

The episode features Zephryn Cochran, the discoverer of the Space Warp, who is kept alive by a sentient alien entity known as the Companion. Key ethical issues discussed include the dangers of absolute power, the importance of consent, respecting diversity and self-determination, the balance between duty of care and paternalism, and the need for transparency and accountability. Cochran’s interactions with the Companion serve as a backdrop to highlight these important ethical principles for compliance professionals.

Key Highlights

  • Plot Summary of ‘Metamorphosis’
  • The Companion’s True Nature
  • Ethical Analysis of the Episode
  • Ethical Lessons for Compliance Professionals

Resources

Excruciatingly Detailed Plot Summary by Eric W. Weisstein

MissionLogPodcast.com

Memory Alpha

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Compliance Tip of the Day

Compliance Tip of the Day: Obstacles to Culture Change

Welcome to “Compliance Tip of the Day,” the podcast where we bring you daily insights and practical advice on navigating the ever-evolving landscape of compliance and regulatory requirements.

Whether you’re a seasoned compliance professional or just starting your journey, our aim is to provide you with bite-sized, actionable tips to help you stay on top of your compliance game.

Join us as we explore the latest industry trends, share best practices, and demystify complex compliance issues to keep your organization on the right side of the law.

Tune in daily for your dose of compliance wisdom, and let’s make compliance a little less daunting, one tip at a time.

In today’s episode, we consider three key obstacles to culture change that a compliance professional may face or need to address.

For more information on the Ethico ROI Calculator and a free White Paper on the ROI of Compliance, click here.

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Innovation in Compliance

Innovation in Compliance: Arthur Mueller on Harnessing AI to Transform Financial Crime Compliance

Innovation comes in many forms, and compliance professionals need to not only be ready for it but also embrace it. In this episode, Tom Fox visits with Arthur Mueller, a thought leader in compliance and financial crime prevention. We take a deep dive into the topic of financial crime prevention and the use of generative AI in this edition of Innovation in Compliance.

Arthur Mueller has over 20 years of experience in anti-financial crime programs across various institutions. He explains his current role at WorkFusion, where he leverages AI and machine learning to enhance compliance programs. The discussion encompasses the evolution of AML practices, the role of digital workers like Tara in automating routine tasks, and the benefits of AI in improving risk management, efficiency, and worker satisfaction in financial services. Arthur provides real-life examples of how AI can help mitigate risks, streamline operations, and enhance employee productivity and retention.

Key Highlights

  • Evolution of AML and Financial Crime Programs
  • WorkFusion’s Role in Financial Crime Prevention
  • Digital Workers and AI in Compliance
  • Adverse Media Screening and Automation
  • Introducing Tara: The Digital Payment Screening Analyst
  • The Future of AI in Financial Crime Compliance

Resources:
Arthur Mueller on  LinkedIn

WorkFusion

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Daily Compliance News

Daily Compliance News: July 9, 2024 – The Boeing Pleads Guilty Edition

Welcome to the Daily Compliance News. Each day, Tom Fox, the Voice of Compliance, brings you compliance-related stories to start your day. Sit back, enjoy a cup of morning coffee and listen to the Daily Compliance News. All from the Compliance Podcast Network.

Each day, we consider four stories from the business world: compliance, ethics, risk management, leadership, or general interest for the compliance professional.

In today’s edition of Daily Compliance News:

  • Boeing agrees to plead guilty to a felony count.  (NYT)
  • $50bn Medicare fraud unearthed. (WSJ)
  • Tesla shareholder’s lawyer argues for a $7 billion fee award in the Musk pay case. (Reuters)
  • Final arguments in the Menendez case. (Bloomberg)

For more information on the Ethico ROI Calculator and a free White Paper on the ROI of Compliance, click here.

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Trekking Through Compliance

Trekking Through Compliance – Episode 37 – Ethical Decision-Making Lessons and the Return of Harry Mudd in I, Mudd

In this episode of Trekking Through Compliance, we consider episode I, Mudd, which aired on November 3, 1967, and occurred on Star Date 4513.3.

The Enterprise finds Harry Mudd (Harcourt Fenton Mudd) on a planet and the “ruler” of 500 robot women. Mudd is being studied by the robots, who are accommodating but refuse to let him go. The androids tell Kirk people from the Andromeda galaxy built them. However, the civilization that constructed them was destroyed by a supernova, so the androids were left without supervision. Now, they have found a new purpose in Mudd. Spock makes inquiries and discovers that there are 207,809 androids, and, most importantly, they seem to be controlled by some central coordinating power.

The robots find people too destructive and plan to take over and “serve” all humans in the galaxy to control them. Kirk leaves Harry on the planet with his attendant robots to serve as an example of human failure to them. The robots are also reprogrammed to perform their original task of rendering the planet fit for human life. As a final blow to Mr. Mudd, Kirk also leaves behind several android copies of his shrewish wife, Stella.

Commentary

The episode features the return of Harcourt Fenton Mudd, who hijacks the Enterprise and takes it to a planet of robots. The crew must outwit the androids using illogical actions to regain control. We delve into the episode’s ethical lessons and connect them to compliance practices, emphasizing the importance of ethical decision-making, ethical leadership, and continuous improvement in compliance programs. Fun fact: NBC considered a spin-off series for Harry Mudd due to the episode’s success, although it never came to fruition.

Key Highlights

  • Plot Summary: The Hijacking and Mudd’s Rule
  • The Androids’ Purpose and Kirk’s Plan
  • The Climax: Overloading the Androids
  • Ethical Decision-Making in Compliance

Resources

Excruciatingly Detailed Plot Summary by Eric W. Weisstein

MissionLogPodcast.com

Memory Alpha

 

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Blog

Design-Centric Internal Controls: The Foundation for Compliance Excellence

The dynamic world of compliance is continually evolving. New regulations, emerging technologies, and changing market conditions demand that organizations remain vigilant and proactive in their compliance efforts. One crucial aspect of this ongoing vigilance is the design and implementation of internal controls. Recently, I had the pleasure of discussing this topic with Adrienne Bellehumeur. In this blog post, we will explore the key insights from our conversation and delve into the importance of design-centric internal controls.

Adrienne is a chartered accountant and entrepreneur in Canada who has advocated for a design-first approach to internal controls for many years. Adrienne says design-centric internal controls are essential because they lay the foundation for effective compliance. She likens this approach to baking a cake: the design is the cake itself, while testing and other compliance activities are the icing. Without a solid foundation, no amount of testing can ensure the effectiveness of internal controls.

The necessity of robust internal controls has never been more critical. With the increasing complexity of regulatory requirements (on both sides of the border) and the rapid advancement of technology, organizations must continuously assess and improve their internal control systems. Adrienne points out that while internal controls have existed for over two decades, many organizations have become complacent. This complacency can lead to outdated processes that may not adequately address current risks and regulatory expectations.

Adrienne outlined five principles to improve and energize control design work:

  1. Think of Design as the Cake and Testing as the Icing: Focus on building solid and well-thought-out processes before jumping into testing. This approach ensures that the foundation is solid and can withstand scrutiny.
  2. Assess the Organization’s Level of Maturity: Tailor the internal control program to the organization’s stage of development. A one-size-fits-all approach is ineffective, as different organizations have varying needs and challenges.
  3. Focus on Habits, Not Theory: Practical, habitual practices are more effective than theoretical concepts. Encourage habits like regular access control reviews and inventory management to embed compliance into the organizational culture.
  4. Support Continuous Improvement: Internal controls should not be static. Regularly review and update controls to ensure they remain effective and relevant. Continuous improvement helps organizations stay ahead of emerging risks and regulatory changes.
  5. Keep It Interesting: Vary the techniques used in internal control assessments to maintain engagement and effectiveness. Workshops, interviews, and creative diagramming can provide fresh perspectives and uncover new insights.

One of the most intriguing aspects of Adrienne’s approach is her use of workshops to discuss and improve internal controls. These workshops involve stakeholders, including internal auditors, compliance officers, and business unit leaders. By fostering open dialogue and collaboration, these sessions can identify inefficiencies, propose improvements, and build stronger relationships between auditors and the internal team.

Adrienne emphasizes that these workshops should occur before external audits. This pre-audit preparation allows organizations to address issues internally, reducing the likelihood of negative findings during the audit. Moreover, involving the internal team in the design process helps build a sense of ownership and commitment to maintaining robust controls.

For the internal auditor, leveraging technology is crucial for adequate internal controls. Adrienne highlighted the decreasing reliance on transactional testing, thanks to automation and data analytics advancements. Modern internal controls must adapt to these changes by incorporating technology that enhances efficiency and accuracy.

AI and data analytics can provide deeper insights into organizational processes, helping identify potential risks and areas for improvement. By integrating these technologies into the internal control framework, organizations can achieve higher precision and responsiveness.

Adrienne’s expertise in documentation is particularly relevant to internal controls. I wholeheartedly agree that good documentation practices are the backbone of any effective compliance program and form the basis of information management. Clear, accurate, accessible documentation supports transparency, accountability, and continuous improvement.

Companies must establish simple rules for naming, classifying, and managing documents. This foundational step ensures that all relevant information is readily available for internal reviews, audits, and regulatory inspections.

The compliance landscape continually evolves, with new challenges like ESG and AI gaining prominence. Adrienne articulated that a back-to-basics approach can help organizations navigate these new areas. Organizations can build a solid foundation that supports emerging compliance requirements by focusing on fundamental principles of good information management and documentation.

For instance, effective ESG reporting relies on accurate and comprehensive data. Similarly, AI systems must be underpinned by robust data management practices to ensure transparency and accountability. By strengthening these foundational elements, organizations can more easily adapt to new regulatory expectations and technological advancements.

Adrienne and I also discussed the role of internal controls in supporting whistleblower programs. With the Department of Justice (DOJ) formulating new rules for financial incentives in whistleblower programs, organizations must ensure their internal controls can detect and address issues before they escalate. Adequate internal controls can help prevent whistleblower claims by identifying and mitigating risks early. For example, strong documentation practices provide a clear audit trail that can validate the organization’s actions and decisions. Additionally, fostering a culture of transparency and accountability encourages employees to report concerns internally, allowing the organization to address them proactively.

Design-centric internal controls are essential for building a robust and effective compliance program. By focusing on the principles outlined by Adrienne Bellehumeur, organizations can enhance their internal control frameworks, support continuous improvement, and stay ahead of emerging compliance challenges. A proactive approach to internal controls is crucial for long-term compliance success, whether through innovative workshops, leveraging technology, or strengthening documentation practices.

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FCPA Compliance Report

FCPA Compliance Report: Jonathan Armstrong on Sweeping Changes in The UK Government: Insights on Compliance

Welcome to the award-winning FCPA Compliance Report, the longest running podcast in compliance. In this edition of the FCPA Compliance Report, Tom Fox welcome Jonathan Armstrong to discuss the seismic shift in the UK’s political landscape following the election last week.

The election was literally one for the ages. It led to a significant Labor victory over the Conservatives. They delve into the implications for compliance and governance in both the UK and globally. Topics include the new government’s proactive approach, anticipated shifts in bribery enforcement, and fiscal policies.

They also explore potential changes in AI regulation, employment law, data protection, and international relations, especially concerning Russia and China. The conversation highlights Labor’s balanced strategy, aiming for sensible, centrist policies while addressing key issues like corruption, AI, and data privacy.

Highlights in this Episode:

  • An election result for the ages
  • Impact on Bribery and Corruption Enforcement
  • Trade Sanctions, Russian Oligarch’s and Forced Labor
  • AI and Beyond
  • Data Privacy and Data Protection
  • Labor and Employment Rights

 Resources:

Jonathan Armstrong on LinkedIn

UK General Election 2024 – What Might This Mean for Compliance?

Tom Fox

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