(1 CPE) When a disclosure misstep triggers legal action, is your team prepared to respond? From SEC inquiries and DOJ investigations to shareholder litigation, legal teams and finance leaders must collaborate under pressure.
In this replay of SEC Pro’s recent session at Workiva Amplify, a panel of seasoned attorneys will share real-world examples of how companies navigate these situations, and how you can apply those legal insights to strengthen your own processes and responses. Learn how attorneys assess risk, adapt strategy during times of change, and guide companies through complex disclosure challenges. Whether you’re a seasoned leader or new to managing disclosure risk, you’ll leave with actionable lessons to apply in your own work.
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