Lessons for in-house lawyers from the Australian financial services industry on Risk & Compliance management
Australia’s Banking Royal Commission and APRA’s Prudential Inquiry into the Commonwealth Bank of Australia have highlighted the considerable influence an organisation’s approach to Risk & Compliance management has on its ability to manage misconduct. And these lessons are not just limited to the financial services industry – all industries and organisations, in both Australia and NZ, can learn from the challenges experienced by financial institutions in achieving effective Risk & Compliance management practices.

LOD Live: insights from in-house leaders
LOD Live is a series of webinars created in response to the COVID-19 pandemic. It's an opportunity for in-house legal professionals to come together and listen to leaders in their field share their stories, give practice advice and provides some deep insights.

Demonstrating the value of in-house legal
Getting your business to recognise the value of your in-house legal team is an important challenge for GCs and Heads of Legal around the world.

Key concerns from GCs on motivating and managing your legal team
On Tuesday 18 August 2020, LOD hosted a roundtable discussion with ten senior in-house legal leaders from across the UK. The wide-ranging conversation centred on common concerns surrounding how to motivate and manage your legal team.

