Companies involved in U.S. government contracting and subcontracting are increasingly subject to scrutiny concerning their approach to compliance. Nearly all non-commercial-item prime contracts valued at over five million dollars and to be performed for at least 120 days contain clauses that impose substantial duties aimed at preventing and revealing fraudulent and criminal acts. Contractors are required to adopt “Codes of Business Ethics and Conduct,” and aside from small businesses that are exempt, must have implemented specific training programs and internal control systems designed to prevent and/or detect fraud. These requirements also apply to their subcontractors.
Additionally, The Defense Contract Audit Agency has become more sensitive to issues involving contractor compliance and more aggressive toward contractors that are not compliant. All public contractors should have well-designed mechanisms in place to reduce their chances of committing violations, as they could warrant voluntary or mandatory disclosure and risk contract termination, civil and/or criminal penalties, suspension, or debarment.
This 90-minute webinar will help contractors identify and understand the complex issues they face in complying with the “Codes of Business Ethics and Conduct” and managing the DCAA audit process. The webinar will also explain how to establish an effective system that reduces your company’s exposure to the catastrophic expenses and dangers that result a fraud investigation.
Learning Objectives
- Identify the Federal Acquisition Regulation’s requirements for compliance and ethics programs
- Understand DCAA’s approach to auditing contractor compliance systems
- Learn strategies to address contractor self-governance and disclosure issues
- Become equipped to proactively respond to the evolving compliance environment
- And much, much more!
Who Will Benefit?
Contractors, consultants and their counsel who seek a better understanding of the compliance requirements and audit processes for federal contracts and who want to reduce their risk of committing violations that could result in voluntary or mandatory disclosure and risk contract termination, civil and/or criminal penalties, suspension, or debarment . Get ahead of the curve — register your team today!
Meet Your Presenters
Christopher A. Myers, partner, is Chair of Holland & Knight’s Compliance Services Team and a member of the firm’s White Collar Defense Team. He is a former federal prosecutor and has represented clients in a broad range of complex matters affecting heavily regulated industries, including healthcare & life sciences, government contracts, financial institutions, educational institutions, publicly traded and privately held companies doing business both domestically and internationally. He has defended and protected organizations in both internal and external civil and criminal fraud investigations, design, implementation and assessments of compliance and ethics programs, voluntary disclosures, and corporate governance matters.
William M. Pannier practices in the areas of federal, state, and local government contracting and related litigation, including GSA and other governmental leasing, compliance and enforcement defense, as well as commercial litigation. After beginning his legal career as a commercial transactions lawyer, Mr. Pannier joined the U.S. Air Force JAG Corps, where he gained considerable trial experience and concentrated on government contracts. Mr. Pannier has been involved in all aspects of the procurement process, from acquisition strategy and solicitation to source selection, award, and administration. Mr. Pannier is also experienced with compliance programs, internal investigations, civil and criminal government investigations, the False Claims Act and California’s False Claims Act, mandatory and voluntary disclosures, terminations, suspension, debarment, and claims under the Foreign Claims Act.
This Course is Eligible for Continuing Professional Education Credit (CPE) Credit

CPE Credit: 1.5 hours
Prerequisite: None
Advance Preparation: None
Course level: Advanced
L2 Federal Resources is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be addressed to the National Registry of CPE Sponsors, 150 Fourth Avenue North, Suite 700, Nashville, TN, 37219-2417. Web site: www.nasba.org.
Continuing Legal Education (CLE) Credits
CLE requirements vary by state. If you would like to receive CLE credits for this webinar please contact customer service at (202) 238-9597.
Policy on Refunds and Cancellations
Your satisfaction with this training program is guaranteed. If you encounter difficulties prior to or during a course, please contact customer service at (202) 238-9596. If you are dissatisfied with a course for any reason, you may receive credit toward a future course or a full refund. In the event that this course is cancelled, participants are notified immediately via email and offered a full refund. If the course is rescheduled, participants have a choice of a full refund or having their registration transferred to the new date.