This presentation will explore ways to identify the best practices and common pitfalls that occur when an issue turns into an investigation, determine how/when to use in-house versus outside counsel; consultants or just your compliance team, and how to create a legal analysis of the impact of the compliance "issue" under investigation.
Donna J. Thiel, Chief Compliance Officer, ProviderTrust
Kelly Thomas, Attorney, Starnes Davis Florie LLP
For more information on this event, visit the 25th Annual Compliance Institute event page.
For more a complete schedule of events, visit the 25th Annual Compliance Institute agenda page