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Mark Bodron
Associate General Counsel-ERISA
Lumen Technologies
How Will that Impact my Plan?: Plan Document Compliance, Updating SBCs and other Participant Communications
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Marina Edwards
Founder
Marina Retirement LLC
The RFP Process and Managing the Aftermath: Best Practices & Fiduciary Responsibilities
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Eric Smith
Partner
Conner & Winters, LLP
What’s Next with SECURE 2.0: Compliance Issues and Voluntary Provisions Update
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Angela Stockbridge
Of Counsel
Steptoe & Johnson PLLC
COBRA Administration: Compliance Pitfalls and Successfully Partnering with your Vendor
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Beth Allen
Attorney
Allen Benefits Law
Mental Health Parity: How to Comply with DOL Regulations
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Judy Burdg
Shareholder and Practice Group Leader
McAfee & Taft
Mergers and Acquisition Issues for Retirement and Health & Welfare Plans