Compliance October 11th, 2023 Industry Advocates Implore DOL for Regulatory Clarity on SECURE 2.0 Emergency savings and disclosures were points of focus.
Compliance October 11th, 2023 Two Plan Sponsors Accused of Improper Use of 401(k) Forfeitures ERISA experts point to longstanding and widespread practice of using forfeitures to reduce future employer contributions or pay reasonable expenses.
Compliance October 11th, 2023 SECURE 2.0: Provisions, Mandates and Uncertainties Experts review the road map for current and upcoming dates of the retirement legislation.
Compliance October 10th, 2023 SEC’s AI Proposal Would Negatively Affect Retirement Education Features, Commenters Say The feedback period for the SEC proposal on artificial intelligence and conflicts of interest closed today, and the feedback has...
Compliance October 6th, 2023 Colgate-Palmolive Submits Motion for Summary Judgment in Retirement Fraud Lawsuit Legal Counsel for the Colgate-Palmolive Employee Relations Committee aim to terminate the plan sponsor's participation in a lawsuit alleging the...
Compliance October 4th, 2023 Will ESOPs Finally Get Regulatory Clarity? SECURE 2.0 requires DOL to create rules for ESOP valuation.
Compliance October 3rd, 2023 Understanding Plan Fees, With Help from NAGDCA A recently published fee guide can help plan sponsors navigate different recordkeeping, advisory and asset management options.
Compliance October 3rd, 2023 House Bills Aim to Increase Use, Contribution Amounts For HSAs Bipartisan legislation looks to address “outdated bureaucratic barriers and red tape” regarding the tax-advantaged health savings accounts.
Compliance October 2nd, 2023 Temporary Budget Agreement Keeps 2024 Inflation Adjustments on Track The Social Security COLA and IRS Contribution Limits will continue on schedule after a near miss on government shutdown.
Compliance October 1st, 2023 DOL’s Khawar Says ‘Partnership’ Needed to Combat Cyber Risks The principal deputy assistant secretary for EBSA discusses how plan fiduciaries have been using DOL best practice guidance, and why...
Compliance September 29th, 2023 SEC Imposes $79M in Fines on Advisers for Recordkeeping Violations Ten firms were fined for using unapproved off-channel devices for business related communications.
Compliance September 29th, 2023 SEC Proposes New Rules for RILA Annuity Providers The proposal directs RILA providers to use registration documents that better explain the annuity’s features and complexities.
Compliance September 28th, 2023 Inflation Data Will Be Unavailable for 2024 Social Security COLA With Shutdown The Social Security COLA would not be updated on the scheduled timeline of October 12 during a government shutdown.
Compliance September 28th, 2023 Cannabis Industry Employers May Be Allowed to Sponsor Retirement Plans The SAFER Banking Act addresses several banking and workplace topics for the companies.
Compliance September 27th, 2023 SEC Would Suspend Rulemaking, Enforcement During Potential Shutdown Comment periods would remain open for the AI and safeguarding proposals, but comments would not be reviewed in real time.
Compliance September 27th, 2023 Fund Advisers Reject SEC Aiding and Abetting Charges The adviser for a mutual fund argues against alleged Liquidity Rule violations because the company was not responsible for the...
Compliance September 25th, 2023 Social Security COLA Projected at 3.2% Ahead of October Decision The Social Security Administration will officially announce the adjustment rate on October 12, and it is projected at less than...
Compliance September 25th, 2023 10th Circuit’s ‘Meaningful Benchmark’ Ruling Will Not Stymie Lawsuits, Experts Says Five circuit courts have now heightened the standard for 401(k) participant lawsuits, but ERISA attorneys do not expect lawsuits challenging...
Compliance September 25th, 2023 Private Fund Adviser Fined $1.6M for Duty of Care Violations The infrastructure fund allegedly did not disclose conflicts of interest and took actions without regard for their impact on investors.
Compliance September 22nd, 2023 Judge Upholds DOL ESG Rule A Texas judge, appointed during the Trump administration, ruled that the DOL does not violate ERISA by permitting ESG in...