Open for Business: BCP and Data Privacy Changes in a Post-COVID World

View our CSS & Mintz webinar to see results from the 2020 BCP & Cybersecurity Survey to benchmark your firm’s BCP against your industry peers, and gain insight into the direction of the “new normal.” Learn how to improve business resilience and mitigate cyber risks to understand the procedures and policies you need in place to ensure business continuity and data privacy going forward.

The webinar covers:

  • How business continuity plans are faring in the financial industry?
  • What have been COVID-19 BCP blindspots, and how to ensure business resilience?
  • The cyber challenges of COVID-19 – how to protect your firm while working remotely


E.J. Yerzak, CISA®, CISM®, CRISC™, Director of Cyber IT Services, CSS
E.J. assists firms in assessing and managing their cybersecurity risk – from network vulnerability scanning and penetration testing to onsite cybersecurity assessments and assistance in implementing the NIST cybersecurity framework. E.J. has authored articles and alerts on emerging regulatory and technology issues, and is regularly requested to speak as a cybersecurity expert at industry conferences.

Cynthia Larose, CIPP-US, CIPP-E, Chair of the Privacy & Cybersecurity Practice, Mintz Levin Cohn Ferris Glovsky and Popeo PC
Cynthia has extensive experience in privacy, data security, and information management matters, including state, federal, and international laws and regulations on the use of transfer of information, data security breach compliance and incident response, and data breach incident response planning, as well as data transfers in the context of mergers and acquisition and technology transactions.

Fill in & submit the form below to download this ComplianceCast™

Thank you!

Your download will appear below momentarily.

Download Now.

Subscribe to CSS Blog

CSS frequently publishes blog posts which are written by our team from their observations in the field, at conferences and through experiences with compliance professionals. These posts are designed to further knowledge and share industry best practices. Topics run the gamut, including Form ADV, cybersecurity, MiFID II, position limit monitoring, technology challenges and more. Complete and submit the brief form below to receive notifications when we publish new content.

Latest Content

Service Provider Due Diligence – Building Effective Partnerships

In 2009, the SEC stated at its CCOutreach Program that “when a service provider is utilized, the adviser still retains its fiduciary responsibilities for the delegated services.” This philosophy is as true today as it was 10-plus years ago. Therefore, the question becomes how do you establish a due diligence oversight program for your firm’s … Continued

SEC Adopts Changes to Reporting Forms

Regulation of Derivatives Use by RICs and BDCs Recognizing the proliferation of new derivate products in our markets, the SEC voted to adopt a new regulatory framework for the use of derivatives by mutual funds, ETFs, closed-end funds, and business development companies. The SEC’s press release stated that, “The new rule and rule amendments will … Continued

Time to Use the Bat Phone: Who to Call When a Compliance Officer Needs Help?

It seems that the burden of work continues to increase for compliance professionals in the investment management industry. While also ensuring that their compliance program is effective, compliance officers must also be aware of cybersecurity threats, business continuity plans, new regulations, changes in business strategy, and more – all while doing this under a work … Continued