Former regulators discussed federal and state efforts to regulate the consumer financial services market in a period of both swift innovation and an increased focus on equity and fairness, and Jeff Naimon discusses the impact of ESG on lending and overall compliance governance.
James Parkinson joined a panel, “Do the new data laws make corporate internal investigations impossible?,” at the annual conference of the International Bar Association’s Anti-Corruption Committee, held at the headquarters of the Organization for Cooperation and Development (OECD).
Sarah Schaedler and Jennifer Criss will be leading a roundtable discussion on Recognizing and Mitigating IP Traps in M&A Transactions.
Daniel Bellovin joined a panel of industry experts that provided insights on flood insurance regulation and compliance, a review of recent enforcement actions, the impact of Risk Rating 2.0, and current compliance challenges for financial institutions.
Steven vonBerg joined a panel of industry experts to discuss regulatory concerns, including updates on FHFA’s scaling back of second home and investment property mortgages, CFPB priorities, the CDFI no-doc loan program, and fair lending issues.