Master the evolving SEC enforcement landscape and auditor expectations in an era of heightened financial scrutiny.

The Securities and Exchange Commission (SEC) is continuing to scrutinize financial reporting practices, disclosure controls, and accounting judgments involving revenue recognition and earnings presentation, with renewed focus on gatekeepers, such as accountants and lawyers. These developments have heightened regulatory exposure for public companies and their counsel responding to complex investigative inquiries.
To address these challenges, this CLE webinar will feature Jaclyn Moyer, Partner at Wilmer Cutler Pickering Hale and Dorr LLP, and Brian J. Jarzynski, CPA, Managing Director at Ernst & Young LLP. The program examines SEC enforcement developments in accounting and financial fraud matters, including investigative approaches, forensic accounting considerations, and regulatory evaluation of financial reporting practices. Attendees will gain a clearer understanding of how enforcement theories are developed and how financial reporting issues are evaluated during regulatory investigations.

Live and Recorded CLE & CPE Webcasts in the Legal, Tax, Finance, Risk, Compliance and Human Resources Industries
Founded in November 2006, The Knowledge Group has established itself as a premier eLearning hub for Continuing Legal Education (CLE), Continuing Professional Education (CPE), and technology-focused webcasts. We equip lawyers, accountants, and industry professionals with expert-driven insights, timely regulatory updates, and practical strategies to help them stay ahead in an ever-evolving landscape.

Partner at Wilmer Cutler Pickering Hale and Dorr LLP
Jaclyn Moyer is a partner at WilmerHale. Her practice focuses on securities litigation and enforcement. She has represented Audit Committees, Boards of Directors, and issuers conducting investigations into allegations of financial and accounting fraud, insider trading, and disclosure improprieties. She has served as counsel to Big Four accounting firms, financial institutions, private equity funds, broker-dealers, hedge funds, and individuals under investigation by the Securities and Exchange Commission, the Department of Justice, the Public Company Accounting Oversight Board, self-regulatory organizations, and state attorneys general in a variety of matters. She has experience representing clients in parallel civil, regulatory, and criminal proceedings, as well as with complex commercial litigation.

Managing Director, Professional Practice Forensics at Ernst & Young LLP
Brian Jarzynski is a Managing Director in EY’s Professional Practice—Forensics group based in the Michigan area of the United States. He has 9 years of financial audit experience and over 20 years of investigative experience serving public and privately held companies as well as 5 years of experience as the Chief Financial Officer of a US listed public company. He has assisted a diverse base of clients in industries such as automotive, diversified manufacturing and chemicals, and pharmaceuticals. Brian has advised clients on subjects including, fraud prevention, detection and investigation, extensive experience in various aspects of the Foreign Corrupt Practices Act (FCPA) including compliance, investigation and monitoring, internal and regulatory investigations, and corporate compliance. Brian holds a bachelor’s degree in accounting from Michigan State University in East Lansing, MI. He is a certified public accountant licensed in the state of Michigan.