Mondaq Canada: Corporate/Commercial Law > Compliance
MLT Aikins LLP
After a series of negotiations with the seller, you have finalized and signed a letter of intent and have started undertaking the necessary due diligence investigations to evaluate the pharmacy's business
Borden Ladner Gervais LLP
On September 27, 2019, the U.S. Securities and Exchange Commission (SEC) announced that Vancouver-based Westport Fuel Systems Inc. (Westport)
Stikeman Elliott LLP
Le projet de Règlement 93-102 sur l'inscription en dérivés des Autorités canadiennes en valeurs mobilières, qui prévoit le régime d'inscription des courtiers et conseillers en dérivés, propose une
Stikeman Elliott LLP
On August 8, the Ontario Securities Commission (OSC) Compliance and Registrant Regulation Branch (CRR) published a Summary Report for Dealers,...
Stikeman Elliott LLP
The Canadian Securities Administrators (CSA) recently published guidance for registered firms as to when they are required to engage a compliance consultant
Rogers Partners LLP
The purpose is to ensure commercial drivers are driving within their daily limits and are accurately logging their working hours behind the wheel.
Fasken
Even if the conditions are met, a remediation agreement is not automatic.
Stikeman Elliott LLP
Les Autorités canadiennes en valeurs mobilières (ACVM) ont récemment publié des indications à l'intention des sociétés inscrites sur le moment où elles doivent retenir les services d'un consultant en conformité
Dentons
In the past decade, there have been several reports of cybersecurity attacks and data breaches to large corporations.
Stikeman Elliott LLP
Much-awaited amendments to Canadian federal anti-money laundering legislation will now specifically capture non-Canadian money service businesses (MSBs), including those dealing
Stikeman Elliott LLP
Les modifications tant attendues de la législation fédérale canadienne sur la lutte contre le blanchiment d'argent s'appliqueront désormais expressément aux entreprises de services
Norton Rose Fulbright Canada LLP
Bills C-44 and C-86 bring a suite of amendments that confer greater authority on the Canada Industrial Relations Board (the CIRB)
McCarthy Tétrault LLP
On August 22, the Canadian Securities Administrators (CSA) issued guidance for regulated securities firms such as portfolio managers
Gowling WLG
Companies and human resource managers need to be aware of the potential immigration implications that corporate changes, acquisitions or restructurings may have on temporary foreign workers (TFWs)
McCarthy Tétrault LLP
The Act provides the right for individuals to file a complaint to Accessibility Commissioner if they have suffered physical or psychological harm, property damage
Goodmans LLP
The Staff Notice does not modify or create legal obligations for reporting issuers.
Davies Ward Phillips & Vineberg
Have an appropriate process in place for raising and responding to complaints or concerns (internal or external) regarding the use and collection of personal data.
Davies Ward Phillips & Vineberg
They can also expect that these changes will require the dedication of increased time and resources to ensure compliance.
WeirFoulds LLP
On July 31, 2019, the final report and recommendations of the Long-Term Care Homes Public Inquiry were released.
McCarthy Tétrault LLP
Each CE requirement may be met by taking one course, or a series of eligible courses.
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Blaney McMurtry LLP
Topics covered included another decision in the ongoing Residential School Settlement saga (procedural fairness), family law (unequal division of property and striking pleadings for failure to comply with disclosure order)
Stikeman Elliott LLP
Les Autorités canadiennes en valeurs mobilières (ACVM) ont récemment publié des indications à l'intention des sociétés inscrites sur le moment où elles doivent retenir les services d'un consultant en conformité
Dentons
In the past decade, there have been several reports of cybersecurity attacks and data breaches to large corporations.
Alexander Holburn Beaudin + Lang LLP
For a few months during the summer of 2018, Fortis BC closed a long strip of Vancouver's East 1st Avenue to conduct gas line work.
Norton Rose Fulbright Canada LLP
More draft legislation is set to be tabled in Parliament imposing obligations on Canadian companies' supply chains.
Fasken
Even if the conditions are met, a remediation agreement is not automatic.
Stikeman Elliott LLP
The Canadian Securities Administrators (CSA) recently published guidance for registered firms as to when they are required to engage a compliance consultant
Borden Ladner Gervais LLP
On September 27, 2019, the U.S. Securities and Exchange Commission (SEC) announced that Vancouver-based Westport Fuel Systems Inc. (Westport)
Stikeman Elliott LLP
On August 8, the Ontario Securities Commission (OSC) Compliance and Registrant Regulation Branch (CRR) published a Summary Report for Dealers,...
Stikeman Elliott LLP
Le projet de Règlement 93-102 sur l'inscription en dérivés des Autorités canadiennes en valeurs mobilières, qui prévoit le régime d'inscription des courtiers et conseillers en dérivés, propose une
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