By in-house counsel, for in-house counsel ®

Online Learning Center

Best Practices for Communication with Corporate Auditors (On-Demand)

  • Register
    • Non-member - $40
    • Member - Free!
    • *Further discounts may apply once you log in.

This Webcast will review the role and responsibilities of auditors in both financial statement audits and internal investigations, along with best practices for company counsel in working and communicating with auditors in those situations. The Webcast will be led by two accountants and two lawyers, all of whom have deep experience in issues related to auditing and investigation.


Generously Sponsored by Gibson Dunn

image

This program originally aired on October 17, 2024. Please note that the on-demand format of this program is not eligible for CLE/CPD credit.  

Key:

Complete
Failed
Available
Locked
Best Practices for Communication with Corporate Auditors
Select the "View On-Demand Recording" button to begin.  |  60 minutes
Select the "View On-Demand Recording" button to begin.  |  60 minutes
Program Feedback Form
7 Questions

John Treiber

Chief Risk Officer

Deloitte & Touche LLP

John Treiber is the Chief Risk Officer of Deloitte & Touche LLP, the U.S.-based audit firm of the global Deloitte Touche Tohmatsu Limited network. As the Chief Risk Officer, one of John’s principal roles is to monitor audits where compliance and risk issues have arisen, and he oversees the response of Deloitte U.S. auditors to Section 10A issues. 

Karyn Lewis

Managing Director

Deloitte & Touche LLP

Karyn Lewis is a Managing Director in the National Office Fraud Risk Center of Deloitte & Touche LLP. She is responsible for collaborating with auditors and clients to identify, assess and respond to fraud risks.  Karyn has spent over 20 years providing forensic accounting services.  She has led and conducted a broad range of corruption, forensic accounting and financial fraud investigations for public and private companies, government agencies, and private individuals. 

Michael Scanlon

Partner

Gibson, Dunn & Crutcher LLP

Michael Scanlon is a partner in the Washington, D.C., office of Gibson Dunn. He serves as Co-Chair of the Accounting Firm Advisory and Defense Practice Group, as well as a member of the Securities Regulation and Corporate Governance and Securities Enforcement Practice Groups. Michael's practice includes assisting companies in conducting Section 10A investigations and advising them on working with their auditors. He also represents auditors before the SEC and PCAOB.

David Ware

Partner

Gibson, Dunn & Crutcher LLP

David Ware is a partner in the Washington, D.C., office of Gibson Dunn. He is a member of Gibson Dunn's Accounting Firm Advisory and Defense, Securities Enforcement, White Collar Defense and Investigations, and Securities Litigation Practice Groups. David handles internal and regulatory investigations, including DOJ, SEC, and PCAOB investigations, for public companies and auditors. From 2012 to 2018, David was an enforcement attorney at the PCAOB, rising to the position of Associate Director.