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  • G. Sax, Discussion leader at Today’s General Counsel Institute Compliance and Ethics Institute, Chicago, Illinois, October 20, 2016.
  • C. Heggie, Today's General Counsel Compliance Forum, Moderator, Chicago, Illinois, October 20, 2016.
  • S. Marmor, "Social Media Law", PLI Corporate Compliance and Ethics Institute, Chicago, Illinois May 2016.
  • S. Marmor, "Whose Facebook Is it Anyway? Social Media, Privacy, and the Law," PLI Corporate Compliance and Ethics Institute, Chicago, Illinois, May 2015.
  • T. Banks, "Antitrust Compliance Programs and the AU Optronics Case," ABA Antitrust Section, March 2015.
  • T. Banks, "Antitrust Compliance - What You Need to Know Today in Dealing with DOJ," Fordham Corporate Law Center, October 30, 2014.
  • T. Banks, "Antitrust Compliance? How and Why You Can Make It Work," Fordham University Law School, New York, New York, October 2014.
  • T. Banks, "Government Approaches to Antitrust Compliance in the US and Elsewhere and Why You Should Ignore Them and Just Make a Good Compliance Program," Canadian Bar Association 2014 Annual Fall Competition Law Conference, Ottawa, Canada, September 2014.
  • S. Marmor, "Social Media and the Law, From Innovation to Litigation," PLI Corporate Compliance and Ethics Institute, May 2014.
  • S. Marmor, "When Everyone is Watching: Social Media, Privacy, and the Law," PLI Corporate Compliance and Ethics Institute, May 2014.
  • T. Banks, "Why Your Antitrust Compliance Program Doesn't Work," ABA Section of Litigation, Scottsdale, Arizona, April 2014.
  • T. Banks, "Is Your Antitrust Compliance Program Effective?" Antitrust Section Compliance & Ethics Spotlight, American Bar Association, March 20, 2014.
  • S. Kroloff, “Ethics and Compliance Overview,” Fox Valley Technical College, Appleton, WI, December 2015.
  • S. Kroloff, “Global Compliance and Investigations,” Paralegal Association of Wisconsin, October 2015.
  • T. Banks, PLI Compliance & Ethics Institute, Chair, Chicago, Illinois, May 4-5, 2015.
  • C. Liipfert, "Using Social Media to Promote Compliance and Ethics," PLI Compliance &Ethics Institute 2015, Chicago, Illinois, May 4, 2015.
  • T. Banks, "Agile Compliance Using Big Data," Society of Corporate Compliance and Ethics Compliance and Ethics Institute, Chicago, Illinois, September 2014.
  • T. Banks, "Compliance Update: Lessons from the Cases," ABA Antitrust Section, September 2014.
  • T. Banks, "PLI Corporate Compliance and Ethics Institute," Chicago, Illinois, May 2014, May 2013, May 2012, May 2011, May 2010.
  • T. Banks, “Automating Your Compliance Program,” 2013 Compliance & Ethics Institute of the Society of Corporate Compliance & Ethics, Washington, District of Columbia, October 6-9, 2013.
  • T. Banks, "Automating Your Compliance Program," Society of Corporate Compliance and Ethics, Washington, District of Columbia, October 2013.
  • T. Banks, "Training Your Dragons," Compliance Programs for the Board of Directors, Ethics & Compliance Officer Association, Chicago, Illinois, September 2013.
  • T. Banks, "Practicing Law Institute Corporate Compliance and Ethics Institute," Chair, 2013, Chicago, Illinois, May 9-10, 2013.
  • T. Banks, "Red-light Cameras, Risk Assessments, and Compliance Programs," University of Denver Sturm College of Law, Denver, Colorado, March 2013.
  • T. Banks, "Building & Maintaining an Effective Compliance Program," Chicago-Kent College of Law Compliance Boot Camp, Chicago, Illinois, January 2013.
  • T. Banks, "Antitrust Compliance: What Should Businesses Know?"  College of Law, University of Illinois Law 792 - Compliance, Ethics & Professional Responsibility, Chicago, Illinois, March 2014, Corporate Compliance & Ethics, PLI Antitrust Institute New York, May 2014, May 2013, May 2012; Chicago, Illinois, June 2013, June 2012.
  • T. Banks, "Antitrust Compliance Programs and the AU Optronics Case," ABA Section of Antitrust Law, Compliance & Ethics Committee, March 2013.
  • S. Marmor, "Social Media: Is It All Just Talk?" PLI Corporate Compliance and Ethics Institute, May 2012.
  • T. Banks, "Why Your 20th-Century Antitrust Compliance Program Doesn't Work," ABA Antitrust Section Spring Meeting, Washington, District of Columbia, March 2012.
  • T. Banks, "Antitrust Compliance: Will Your Complacency Be Fatal?"  Ethics & Compliance Officers Association, March 2012.
  • T. Banks, "Automating Compliance in the iPhone Age, Society of Corporate Compliance & Ethics," Las Vegas, Nevada, October 2012.
  • T. Banks, "Practical Compliance for Companies of All Sizes," Federation of Defense and Corporate Counsel, Philadelphia, Pennsylvania, September 2012.
  • T. Banks, "How Does Your Position Align with Your Corporation's Risk Appetite?" RIMS Regional Risk Management Conference, Wheeling, Illinois, September 2012.
  • T. Banks, "Corporate Culture and Compliance", Society of Corporate Compliance and Ethics Midwest Regional Compliance Conference, Chicago, Illinois, April 2012.
  • S. Kroloff, “Investigative Best Practices,” Retail Industry Leaders Association, April 2012.
  • S. Kroloff, “Criminal Background Screening, Investigations & EEOC Regulatory Compliance,” Retail Industry Leaders Association, April 2012.
  • T. Banks, "Implementing an Efficient and Effective Ethics and Compliance Program," Corporate Counsel (ALM) General Counsel Conference West Coast, San Francisco, California, November 2011.
  • T. Banks, "Corporate Compliance Programs: Where Outside Counsel Can Help or Make a Bad Situation Worse," New York City Bar Association, New York, New York, October 2011.
  • T. Banks, "Using Automation for Compliance, Advanced Discussion Group Leader, Society of Corporate Compliance & Ethics", Las Vegas, Nevada, September 2011.
  • T. Banks, "Antitrust Compliance for the Mid-Market: Because There is No Such Thing as Flying Under the Radar," American Bar Association Section of Business Law, Fall Meeting, Washington, District of Columbia, Nov. 2011.
  • T. Banks, "Effective Antitrust Compliance," Society of Corporate Compliance & Ethics, Las Vegas, Nevada, September 2011.
  • T. Banks, "Smoothing the Distribution Path: Advising Clients on Antitrust Concerns in Channel Chairman," PLI Corporate Compliance and Ethics Institute, Chicago, Illinois, May 2011, May 2010.
  • T. Banks, "Antitrust Compliance for Corporate Counselors," ABA Section of Antitrust Law, January 2011.
  • C. Liipfert, "Minimizing Risk, Maximizing Compliance: Information Governance on a Global Scale," Knowledge and Information Management for Oil & Gas USA (World Research Group), December 9, 2010.
  • T. Banks, "Modern Antitrust Compliance," Society of Corporate Compliance & Ethics Annual Conference, Annual Compliance Institute, Chicago, Illinois, September 2010.
  • T. Banks, "Ethics Issues in Global Antitrust Compliance," Chicago Forum on International Antitrust Issues, Northwestern University Law School, May 2010.
  • T. Banks, "Corporate Compliance Seminar," Loyola University Law School, Chicago, Illinois, Fall 2011, 2010.
  • T. Banks, "Insider Trading and Compliance," Law Bulletin White Collar + Corporate Governance Conference, Chicago, Illinois, April 2011.
  • T. Banks, "Corporate Culture and International Compliance," University of Denver Sturm College of Law, Denver, Colorado, March 2011.
  • T. Banks, "Integrating Legal Requirements into Business Procedures," Annual Ethics & Compliance Conference, Ethics & Compliance Officer Association, Anaheim, California, September 2010.
  • T. Banks, "Corporate Compliance and Ethics," PLI Antitrust Institute, Chicago, Illinois, June 2010.
  • C. Liipfert, "A View from the Trenches:  Effective Communications and Training (An In-House View)," PLI Chicago Compliance & Ethics Institute, Chicago, Illinois, May 20-21, 2009, and May 13-14, 2010.
  • T. Banks, "PLI Corporate Compliance and Ethics Institute," Chicago, Illinois, May 2010.
  • T. Banks, "Why Corporate Culture is the Only Thing that Matters in Compliance & Ethics," Compliance and Ethics Conference, Blue Cross & Blue Shield Association Anti-Fraud, New Orleans, Louisiana, May 2010.
  • T. Banks, "Setting the Stage for Your New Compliance Program," Society of Corporate Compliance & Ethics Regional Conference, Chicago, Illinois, April 2010.
  • T. Banks, "Up the Ladder Reporting and SOX: Not Enough," University of Denver Sturm College of Law, Denver, Colorado, April 2010.
  • T. Banks, "Managing Ethics and Compliance During a Recession," Society of Corporate Compliance & Ethics 8th Annual Compliance and Ethics Institute, Las Vegas, Nevada, September 2009.
  • T. Banks, "Creating the Ethical Corporate Culture," PLI Advanced Compliance Workshop, San Francisco, California, December 2009.
  • T. Banks, "Managing Compliance & Ethics in Tough Economic Times," Institute of Internal Auditors GRC Conference, San Diego, California, August 2009.
  • T. Banks, "The Role of Lawyers in a Company's Compliance Program," Association of Corporate Counsel, July 2009.
  • T. Banks, "PLI Corporate Compliance and Ethics Institute," Chicago, Illinois, May 2009.
  • T. Banks, "Corporate Legal Compliance in 2009: Are You Ready to Deal with Today's Risks?" Aspen Publishers/Wolters Kluwer, March 2009.
  • T. Banks, "Implementing Antitrust Compliance Programs," PLI 50th Annual Antitrust Institute, Chicago, Illinois, June 2009.
  • T. Banks, "Corporate Collapse: Regulatory and Criminal Issues in Corporate America," In-House Counsel, Compliance Officers & Ethical and Practical Obligations, University of Denver Seminar, Denver, Colorado, April 2009.
  • C. Liipfert, "Mastering a Crisis," Optimising Your In-House Legal & Compliance Department Conference, Business Law Education Centre, Hong Kong, September 1999.