Leading the way: How  boards of directors can engage in ethics and compliance

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Emily Miner (moderator)
Senior Advisor, LRN

Emily is a Senior Advisor in LRN’s Ethics & Compliance Advisory practice. She counsels executive leadership teams on how to actively shape and manage their ethical culture through deep quantitative and qualitative understanding and engagement. A skilled facilitator, Emily emphasizes co-creative, bottom-up, and data-driven approaches to foster ethical behavior and inform program strategy. Emily has led engagements with organizations in the healthcare, technology, manufacturing, energy, professional services, and education industries. Emily co-leads LRN’s ongoing flagship research on E&C program effectiveness and is a thought leader in the areas of organizational culture, leadership, and E&C program impact. Prior to joining LRN, Emily applied her behavioral science expertise in the environmental sustainability sector, working with non-profits and several New England municipalities; facilitated earth science research in academia; and contributed to drafting and advancing international climate policy goals. Emily has a Master of Public Administration in Environmental Science and Policy from Columbia University and graduated summa cum laude from the University of Florida with a degree in Anthropology.

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David Greenberg
Former Senior VP and CECO, Altria Group; Board Member, International Seaways

David serves as Chair of the Governance and Risk Assessment Committee and a member of the Audit Committee of International Seaways (NYSE: INSW), one of the largest global crude oil and petroleum tanker companies. Mr. Greenberg’s previous board experience (2006 to 2016) was as the independent director – and member of both the Audit and Compensation Committees – of APCO Worldwide, private communications and government affairs consultancy, and as a director (2013 to 2016) of Clean Tech Group, which creates opportunities for industrial companies to invest in innovative, clean technology. He also served for 5 years as Chairman of the Board of Trustees of The Keystone Center, a Colorado non-profit that brings together oil, chemical, and pharmaceutical companies with leading NGOs to find solutions to complex public policy challenges at the federal and state levels.

Greenberg is currently the Managing Director of Cortina Partners LLC, a private equity firm that owns companies in the air medical, addiction treatment, bedding, textile, and outdoor recreation industries and is CEO of Acqua Recovery, a residential drug and alcohol addiction center

Greenberg has testified before the U.S. Congress, the European Union, the Israeli Knesset and other governmental bodies over two dozen times and has appeared on ABC Nightline, the CBS Morning News, BBC Morning, and the PBS News Hour, and has spoken at leading events for CEOs and boards. 

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Cameron Hoffman
Chief Compliance Officer, NortonLifeLock

Cameron is the Chief Compliance Officer for NortonLifeLock Inc. overseeing global compliance policies, trainings, employee awareness activities, and operational compliance programs for Code of Conduct, Anti-Corruption, Competition, Privacy, FTC Compliance and Trade Compliance. Cameron also leads NortonLifeLock’s global investigation program, managing program architecture, hotline management and case oversight for investigations across HR, audit, security and legal. Cameron also oversees third party risk management and acquisition-related compliance integration, along with managing NortonLifeLock’s operational business compliance program. In addition to compliance areas, Cameron also leads NortonLifeLock’s product legal team. Prior to NortonLifeLock (formerly Symantec), Cameron was an Enforcement Attorney in the San Francisco office of the Securities and Exchange Commission. Cameron conducted investigations in nearly every subject area of the SEC’s enforcement program before joining the specialized FCPA Unit, where she led numerous significant corruption investigations in active coordination with other domestic and foreign regulators. Before joining the SEC, Cameron was a securities litigation and government investigations associate at Wilson Sonsini Goodrich & Rosati.