Over the last decade, increasing scrutiny of business conduct—particularly in relation to fraud, bribery and corruption—has garnered greater attention towards and reinforced the benefits of maintaining an effective compliance environment
and implementing “adequate” procedures.
The growing sophistication of the compliance dialogue has occasionally diverted attention from basic compliance building blocks, such as the value of effective internal controls. Based on our
experience assisting companies with proactive compliance program reviews and internal investigations across a wide range of industries and geographies, this article shares our perspective on methods to uncover and mitigate threats and
the importance of creating a practical yet effective control environment.
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