Regulation and compliance
Regulation and compliance
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The move by CMS may affect publicly traded insurers that have stuck with the ACA.
July 8 -
Those who violated the employer shared responsibility provision in 2015 are nearing the end of their assessments and based on their responses, have received one of five versions of IRS Letter 227.
July 6 -
Plan administrators who make foolish mistakes are begging for an invasive audit from the IRS or Department of Labor. Here are some common errors that will trigger your plan’s worst nightmare.
June 29 -
A recent case illustrates that a buyer might be determined to be a successor employer even if the buyer does not have actual notice of the withdrawal liability.
June 28 -
Assignar, ComplianceHR and Smart Apps are among the programs helping employers keep documents current while adhering to regulatory changes.
June 27 -
The latest proposal clarifies an RIA’s duty of care and other fiduciary obligations when dealing with clients.
June 27 -
From overtime rules to biometric timekeeping, a patchwork of laws and regulations can make compensation benefits a tricky business for employers.
June 26 -
They need documentation showing how they reviewed, selected and monitor their TDFs and if their investment strategy fits with participant demographics.
June 25 -
The company's couriers aren’t employees, a New York state appeals court ruled in a decision that will fuel debate about the status of workers in the gig economy.
June 22 -
Brokers are in a legal quandary: Many of them will still be fiduciaries under the 1975 Rule, but the third-party compensation they received will no longer be permitted.
June 21