This course explores the profound impact of values alignment on individual well-being, engagement, and organizational health within the legal profession.
This program will help lawyers understand the similarities and differences between attorney-client privilege, the work product doctrine, and the duty of confidentiality so that they can provide better counsel to their clients and avoid possible ethical traps.
This will be a “how to” course for independent counsel to quickly, easily, and cheaply resolve insurance conflicts of interest with a single mantra: “Just say no!”
This program will dive into the key provisions of the SECURE Act and give viewers tips on how these changes affect business, estate, and retirement planning considerations for clients.
Participants of this course will be able to recognize and understand the difference between a personality disorder and a mental illness for use in their law practice.
This program will give attorneys an overview on the issues and terminology they need to help their clients choose the best advance care planning / end of life care planning options for them and their families.
This dynamic presentation introduces a mindfulness-based framework for setting and achieving goals in their law practice, designed to help attendees understand why they may be falling short of their desired outcomes and how to make meaningful change.
This CLE is designed for in-house counsel who need to develop and implement a legal compliance program to manage FACTA and FCRA risks within their organization.