April 12 , 2010

GLEACHER CENTER
450 N. Cityfront Plaza Drive, Chicago, IL 60611

For hotels in the area, please visit www.gleachercenter.com and click on Area Attractions.

FEE SCHEDULE - DATE OF ACTUAL RECEIPT BY NSCP GOVERNS RATES CHARGED.

If payment is received by: 2/23/2010 3/30/2010 On Site
NSCP Member of Record $300.00 $325.00 $450.00
Member Associate* $325.00 $375.00 $500.00
Non-Member $375.00 $425.00 $600.00

*Non-member from the same firm.

Discount for additional people from the same firm
In order to help compliance departments educate their compliance staff, NSCP is offering a 20% registration fee discount for each additional attendee from within the same firm. Look for the discount code in the first registered attendee’s confirmation e-mail. If you have any questions, please e-mail Liza Wentworth at lwentworth@nscp.org.

Sign up and pay online

Meeting Host
Financial Tracking, LLC

Meeting Sponsors
ACA Compliance Group (ACA)
Ashland Partners
Bingham McCutchen LLP
Compliance11
K&L Gates LLP
Lawrence Kamin Saunders & Uhlenhop LLC
Renaissance Regulatory Services, Inc. (RRS)

Except where noted, all NSCP workshops are closed to the Regulators and members of the press.

General Session (8:30 am - 10:00 am)

Dialogue With Area Regulators
Open to Regulators and members of the press

Merri Jo Gillette, SEC, Chicago Regional Office*
David W. Porteous, Ulmer & Berne LLP
Edward Wegener, FINRA*
*Invited and pursuing authorization

Have a question for the Regulatory panel? Email us!

WORKSHOP SESSION I (10:15 am - 11:30 am)

(a) BD – DETECTING AND PREVENTING FRAUD

William C. Alsover, Alsover Business Consulting
Mark T. Carberry, UBS Financial Services Inc.

(b) IA – DETECTING AND PREVENTING FRAUD

Jeffrey O. Himstreet, Ameriprise Financial, Inc.
Joseph D. Mc Dermott, Alaric Compliance Services

(c) GI - PRIMER ON COMPLEX FINANCIAL INSTRUMENTS

A. Brad Busscher, Incapital LLC
David E. Fischer-Lodike, Edward Jones Investments
J. Craig Long, Foley & Lardner LLP

LUNCH (11:30 am - 12:45 pm)

WORKSHOP SESSION II (12:45 am - 2:00 pm)

(a) BD – ADDRESSING NEW ISSUES IN FINRA, SEC AND STATE EXAMINATIONS AND ENFORCEMENT PROCEEDINGS

Wesley L. Ringo, J.J.B. Hilliard, W.L. Lyons, LLC
Ellen M. Wheeler, Foley & Lardner LLP

(b) IA – ADDRESSING NEW ISSUES IN SEC AND STATE EXAMINATIONS AND ENFORCEMENT PROCEEDINGS

David H. Lui, FAF Advisors / First American Funds
Jeffrey C. Morton, ACA Compliance Group

(c) HF – COMPLIANCE AND RISK MANAGEMENT

Barry Greenberg, Akin Gump Strauss Hauer & Feld LLP
Uzi Rosha, CarVal Investors

WORKSHOP SESSION III (2:15 pm - 3:30 pm)

(a) BD —  CONDUCTING INTERNAL COMPLIANCE REVIEWS

Jerry C. Danielson, Lincoln Financial Group
John D. Ruark, Lawrence, Kamin, Saunders & Uhlenhop, LLC

(b) IA — CONDUCTING INTERNALCOMPLIANCE REVIEWS

Kevin M. Gleason, Northwestern Mutual
Steven G. Lentz, Faegre & Benson LLP
Pamela K. Ziermann, Dougherty Financial Group LLC

(c) HF – MANAGING CONFLICTS OF INTEREST

Jeff Blumberg, Drinker Biddle & Reath LLP
Jeffrey Levine, Mesirow Financial

WORKSHOP SESSION IV (3:45 pm - 5:00 pm)

(a) BD - MONITORING SUPERVISORY CONTROLS – Hear direct from a Branch Manager

Lisa L. Tharpe, Foley & Lardner LLP
Kenneth L. Wagner, William Blair & Company, L.L.C.

(b) IA - COMPLIANCE AND RISK MANAGEMENT – Hear direct from Risk Management

Scott E. Richter, JPMorgan Chase & Co.
Timothy M. Simons, Ashland Compliance Group LLC

(c) GI – INFORMATION SECURITY POLICIES AND PROCEDURES INCLUDING ELECTRONIC COMMUNICATIONS  - Hear direct from IT

Jeffrey M. Squires, Vista360, LLC

*Invited and pursuing authorization
**GI - General Interest; both IA and BD sides of the issue will be covered