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Guidance Software and Protiviti Team to Provide Companies with a New In-House eDiscovery Solution
October 28, 2008
Protiviti Licenses Approva BizRights Software to Perform Control Assessments for Oracle E-Business Suite and PeopleSoft Applications
March 13, 2008
Oracle Unveils Enterprise Security and Governance, Risk and Compliance Initiative for Partners
November 8, 2007
IT Process Institute Study Reveals Specific Change, Configuration and Release Practices That Predict Top Levels of Performance
September 18, 2007
New Enterprise Risk Assessment Application From SAP Helps Companies Balance Business Opportunities With Risk Exposures
May 14, 2007
Oracle® Database Vault Delivers Unrivaled Secure Data Access Control for PeopleSoft Applications
February 7, 2007
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SAP Partner Ecosystem Drives Continuing Momentum for Governance, Risk and Compliance Solutions
March 15, 2007
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Risks and Challenges Facing the Financial Services Industry in 2009 - And Beyond
2008: The Year in Review
Risk Management in a Turbulent Market
Linkages Between Strategy-Setting and Effective ERM Implementation - Part II
Linkages Between Strategy-Setting and Effective ERM Implementation
The State of Risk Management in the United States
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The New Congress - A Balancing Act
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Basel Committee Guidance on Corporate Governance
Modern-Day Bank Robbers: Protecting Against the Threat of Fraud Within Your Financial Institution
Reviewing Third-Party Service Providers
Investment Advisers and Investment Companies: Focus on Compliance
Money Laundering Enforcement Actions on the Rise
Basel II: The Framework is Approved, but the Debate Goes on
Continuing Focus on Business Continuity Planning
Compliance Management: Increasing Challenges and Expectations
The Benefits of Enterprise Testing
Improving Operational Risk Management
A Look at Sarbanes-Oxley and the New Corporate Governance Environment
After Sarbanes-Oxley: Codes of Conduct
Is a Systemic Risk Regulator the Savior of the Financial Services Industry?
Changes to The IIA Standards: What Do They Mean for Financial Institutions?
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Corporate Directors: Charting a Course Through Troubled Times
Securities Litigation After Stoneridge
Surviving the Subprime Storm: Will History Repeat Itself?
Counseling on the Fringe of Indictment
Due Diligence: Protecting Against Fraud and Third-Party Negligence
Electronic Discovery: The Federal Rules Catch Up With Information Technology
Foreign Corrupt Practices Act: Dormant No More
Government Investigations Uncover Abuses in Insurance Industry
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SOX: Raising the Bar for Records Retention
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Setting the 2009 Audit Committee Agenda
Ten Common Risk Management Failures and How to Avoid Them
Electronic Discovery: An Academic Exercise or Your Next Crisis?
Creating Transparency into Your Largest Risk Exposures
IFRS or Country-Specific GAAP: Who's on First?
Credit Rating Analysis of Enterprise Risk Management at Nonfinancial Companies: Are You Ready?
Setting the 2008 Audit Committee Agenda
The SEC’s New Guidance on Section 404: What It Means to You
The Financial Reporting Risk Profile: Getting Ahead of the Curve
Conducting Enterprise Risk Assessments That Make a Difference
Protecting Enterprise Value Through Your Anti-Fraud Program
Section 404 Compliance: Lessons Learned for the Next 12 Months
Setting the 2006 Audit Committee Agenda
Enterprise Risk Management: Practical Implementation Advice
Section 404 Compliance: Planning for Next Year
Wanted: A Cost-Effective Approach to Validating Performance of the Internal Control Structure
Achieve Sustainability by Integrating the Section 404 and Section 302 Compliance Processes
Driving Value Out of the Section 404 Compliance Process
The Self Assessment Process: Management's Tool for Reinforcing Process Owner Accountability
The Role of Personal Accountability in the New Environment
Building Upon Section 404 Compliance: Moving Beyond Year One
The Changing Corporate Governance Landscape
Staying Focused on Core Business Issues Amid Corporate Governance Compliance
The Code of Conduct — Laying a Cornerstone for Effective Governance
Internal Controls Over Financial Reporting: Understanding Section 404 of Sarbanes-Oxley
Strengthening Governance Through Risk Management
Internal Control Over Financial Reporting — An Update on Section 404 of Sarbanes-Oxley
The Expanded Responsibilities of the Audit Committee: A New Mandate
Technology Risks and Controls: What You Need to Know
Establishing an Effective Complaint and Confidential, Anonymous Reporting Process
Managing Corruption Risk
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