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  • Best Practice for Audit Committees: Monitoring the Independent Auditor

Best Practice for Audit Committees: Monitoring the Independent Auditor

By Frank Scheuerell

In NACD’s March issue of Directorship, Frank Scheuerell of Navigant and Paul Breene of ReedSmith LLP explore key issues of auditor independence and the impact of the Sarbanes-Oxley Act on audit committee roles and responsibilities.

Perspectives

For Audit Committees, the When and Why of Independent Investigations

In the featured article of the February 2012 issue of NACD Directorship magazine, Martin Biegelman of Navigant and Bradley Bondi of Cadwalader, Wickersham & Taft provide insights on the considerations for an audit committee in deciding whether to begin an independent investigation.

 Article / White Paper
Effectively Managing an Independent Investigation

Rick Ostiller and Jon MacKenzie of Navigant co-author an article on how to effectively manage an independent investigation for NACD Directorship’s November 2011 issue.

 Article / White Paper
GC Corner: Pay Close Attention to Financial Reporting About Litigation

The increasing focus on the disclosure of information related to a company’s litigation exposure was the topic of a recent discussion led by NACD Directorship. Steve Stanton, a managing director in the Disputes and Investigations Practice of Navigant, and Mike McConnell, a partner in the Securities Litigation and SEC Enforcement Practice at Jones Day, provide their perspectives on what directors should be alert to regarding financial reporting about litigation.

 Article
GC Corner: When the Whistle Blows, Will You Be Ready?

NACD Directorship sat down with Kevin Stephens, a managing director in the disputes and investigations practice of Navigant, and Larry West, a partner in Latham & Watkins’ securities litigation and white collar and government investigations practices, to explore the key issues of the Dodd-Frank whistleblower provisions and the impact these provisions may have on board governance.

 Article / White Paper
Fiduciary Duties and the Zone of Insolvency

Jessica Boelter, a partner in the Corporate Reorganization and Bankruptcy Group of Sidley Austin LLP, and Wayne Elggren, a managing director in the Disputes and Investigations Practice of Navigant, provide their perspectives based on years of experience in bankruptcy matters.

 Article / White Paper
What to Know When Signing a 10-K

NACD Directorship asked Anthony B. Creamer III, CPA, managing director in the Disputes and Investigations practice of Navigant and Marc S. Gerber, a corporate governance and securities law expert at Skadden to discuss minimum standards, best practices and other thoughts on how outside directors can discharge 10-K annual reports.

 Article / White Paper

Experts

Frank Scheuerell

Mr. Scheuerell is a Managing Director in the Disputes & Investigations practice. He has almost 30 years of experience in all areas of financial management, including internal and external financial reporting and technical accounting.

Michael Maloney

Michael Maloney, a Managing Director in the Disputes and Investigations practice, is a leading expert in the fields of forensic accounting and investigations, white collar defense, corporate fraud, and commercial disputes and damages.

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