October 1 - 2, 2012    Vancouver , Canada
Workshop Included: Handling Internal Investigations

Highlights:
• The latest word on key regulatory initiatives and enforcement priorities
• Building a culture of compliance throughout your organization
• Developing effective compliance programs despite regulatory changes
• Implementing new systems and standards to manage disclosure and compliance obligations
• Complying to securities regulations during a takeover bid
• Understanding how to structure a cross-border compliance program

who should attend
Corporate/Securities Lawyers,Corporate Secretaries,In-house Counsel,Compliance Officers,
CFOs, CEOs,Directors & Officers,Regulatory Officials,Financial Executives,Accountants,
Brokers,Dealers,Issuers

Participating Organizations:
• Blake,
• Cassels & Graydon LLP
• Borden Ladner Gervais LLP
• British Columbia Securities Commission
• Bull, Housser & Tupper LLP
• Deloitte
• Equity Corporate Services Inc.
• Farris, Vaughan, Wills & Murphy LLP
• McMillan LLP
• Stikeman Elliott LLP
• Taylor Veinotte Sullivan Barristers

Venue

Location: Metropolitan Hotel Vancouver
Contact 645 Howe Street , British Columbia CANADA V6C 2Y9 Vancouver , Canada
(604) 687-1122

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