Andrew Greenfield
Partner
Fragomen, Del Rey, Bersen & Loewy, LLP
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Andrew Greenfield is an immigration attorney with over 25 years of experience advising HR and global mobility professionals on U.S. immigration and nationality law and policy and related corporate compliance programs. He counsels clients across industries on visa and work permit matters and the immigration consequences of mergers and acquisitions and other corporate reorganizations, as well as I-9/E-Verify, H-1B/LCA and PERM compliance, and representation during government audits and investigations. Andrew is the managing partner of Fragomen’s Washington, DC, office and a member of the firm’s executive committee, which directs and manages the firm’s 50+ offices in over 30 countries.

SESSIONS:
Rebecca Peters
director, Policy Engagement
SHRM
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Mrs. Peters has worked with the Society for Human Resource Management (SHRM) since October 2018. She previously worked for SHRM’s former affiliate the Council for Global Immigration (CFGI) in the Washington DC metro-area for nearly fifteen years, helping to advance high skilled immigration and employment verification reforms with the U.S. Congress, the White House and the federal agencies. She has served as a chair of the policy committee of the Compete America coalition. She also serves on other coalitions and working groups to educate and advance immigration system efficiencies and to ensure critical changes to employer immigration compliance are reasonable.
SESSIONS:
Philip A. Miscimarra
former NLRB chairman, and partner
Morgan Lewis & Bockius LLP
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Philip A. Miscimarra was sworn in as a Member of the National Labor Relations Board on August 7, 2013 for a term that expires on December 16, 2017.  Mr. Miscimarra was nominated by President Obama on April 9, 2013 and was approved unanimously by the Senate Committee on Health, Education, Labor and Pensions on May 22, 2013.  He was confirmed by the Senate on July 30, 2013. 

Mr. Miscimarra previously was a labor and employment law partner with Morgan Lewis & Bockius LLP in Chicago, and he was a Senior Fellow in the Center for Human Resources at the University of Pennsylvania’s Wharton Business School.  He is the author or co-author of several books involving labor law issues, including The NLRB and Managerial Discretion: Subcontracting, Relocations, Closings, Sales, Layoffs, and Technological Change (2d ed. 2010) (by Miscimarra, Turner, Friedman, Callahan, Conrad, Lignowski and Scroggins); The NLRB and Secondary Boycotts (3d ed. 2002) (by Miscimarra, Berkowitz, Wiener and Ditelberg); and Government Protection of Employees Involved in Mergers and Acquisitions (1989 and 1997 supp.) (by Northrup and Miscimarra); among other publications. Before joining Morgan Lewis in 2005, Mr. Miscimarra was a labor and employment attorney with Seyfarth Shaw LLP in Chicago (1987-2005); Murphy Smith & Polk PC in Chicago (now the Chicago office of Ogletree, Deakins, Nash, Smoak & Stewart, PC) (1986-87); and Reed Smith Shaw & McClay (now Reed Smith LLP) (1982-1986).

Mr. Miscimarra received his Juris Doctor from the University of Pennsylvania Law School; a Masters in Business Administration from the University of Pennsylvania’s Wharton Business School; and a Bachelor of Arts degree, summa cum laude, from Duquesne University.

SESSIONS:
Tuesday, March 19, 2019 - 10:30am to 11:30am
Brenda Kasper, SHRM-SCP, SPHR-CA
Partner
Kasper & Frank LLP
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Brenda S. Kasper is a founding member of Kasper & Frank LLP, a law firm representing California and multi-state employers for all of their human resources and employment law needs.  She regularly advises employers of all sizes on wage and hour compliance, leaves of absence, disability accommodation, reductions in force, terminations and discipline management, employment contracts, personnel policies, and hiring issues.  She also provides management and human resources training.  Brenda is a former HR director so her legal advice is practical, creative and tailored to each client’s needs.  She was the 2015 San Diego SHRM Board President, is an instructor for the HR Certification program at the University of California San Diego Extension and holds her SHRM-SCP and SPHR-California certifications.

SESSIONS:
Tuesday, March 19, 2019 - 10:30am to 11:30am
F. Scott Galt
partner
Armstrong Teasdale
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Scott Galt understands that government actions increasingly affect companies involved in the global trade of goods and services. To manage those added risks associated with overseas transactions, Scott handles corporate compliance issues and global transactions for foreign and domestic companies in a wide variety of industries and contexts. His knowledge of local legal requirements, including trade regulations and data privacy laws in many countries, helps organizations enhance their worldwide networks in a cost-efficient manner. As globalization continues to take hold, Scott advises clients on the licensing and regulatory needs related to their international business concerns, including in connection with the Export Administration Regulations (EAR), the International Traffic in Arms Regulations (ITAR), economic sanctions regimes, anti-boycott laws, embargoed country trade, competition law, and anti-bribery laws, such as the Foreign Corrupt Practices Act (FCPA) and the UK Bribery Act. In a similar vein, Scott helps clients navigate cross-border data flows in the wake of the changing data privacy and protection landscape wrought by the EU-US Privacy Shield Framework and the EU General Data Protection Regulation (GDPR). By developing trade, data privacy, competition law, franchise, or FCPA compliance programs, or facilitating the implementation, assessment, and auditing of current programs, Scott can spot problems and provide guidance on their limitations and the attendant consequences.

 

When a company wants to grow its business, either organically or through acquisition, Scott serves to guide it through the maze of issues associated with their global or domestic expansion. Whether it is corporate formation, entity selection, structure, mergers and acquisitions, cross-border movements, competitive effects, privacy concerns, or disclosure obligations, he works to ensure that each agreement contemplates the appropriate procedures, appreciates jurisdictional nuances, minimizes tax implications and risk, and fulfills the client’s objectives.

 

Scott also brings the benefits of a commercial litigation perspective to his international and domestic corporate and compliance work, serving as outside general counsel for a number of regional clients for whom he handles a wide variety of high-dollar litigation and corporate disputes. Scott also serves as outside general counsel for a national manufacturing trade association. His litigation experience also includes representing corporate and individual fiduciaries, personal representatives, and beneficiaries in a variety of trust and estate disputes.

SESSIONS:
F. Scott Galt
partner
Armstrong Teasdale
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Scott Galt understands that government actions increasingly affect companies involved in the global trade of goods and services. To manage those added risks associated with overseas transactions, Scott handles corporate compliance issues and global transactions for foreign and domestic companies in a wide variety of industries and contexts. His knowledge of local legal requirements, including trade regulations and data privacy laws in many countries, helps organizations enhance their worldwide networks in a cost-efficient manner. As globalization continues to take hold, Scott advises clients on the licensing and regulatory needs related to their international business concerns, including in connection with the Export Administration Regulations (EAR), the International Traffic in Arms Regulations (ITAR), economic sanctions regimes, anti-boycott laws, embargoed country trade, competition law, and anti-bribery laws, such as the Foreign Corrupt Practices Act (FCPA) and the UK Bribery Act. In a similar vein, Scott helps clients navigate cross-border data flows in the wake of the changing data privacy and protection landscape wrought by the EU-US Privacy Shield Framework and the EU General Data Protection Regulation (GDPR). By developing trade, data privacy, competition law, franchise, or FCPA compliance programs, or facilitating the implementation, assessment, and auditing of current programs, Scott can spot problems and provide guidance on their limitations and the attendant consequences.

 

When a company wants to grow its business, either organically or through acquisition, Scott serves to guide it through the maze of issues associated with their global or domestic expansion. Whether it is corporate formation, entity selection, structure, mergers and acquisitions, cross-border movements, competitive effects, privacy concerns, or disclosure obligations, he works to ensure that each agreement contemplates the appropriate procedures, appreciates jurisdictional nuances, minimizes tax implications and risk, and fulfills the client’s objectives.

 

Scott also brings the benefits of a commercial litigation perspective to his international and domestic corporate and compliance work, serving as outside general counsel for a number of regional clients for whom he handles a wide variety of high-dollar litigation and corporate disputes. Scott also serves as outside general counsel for a national manufacturing trade association. His litigation experience also includes representing corporate and individual fiduciaries, personal representatives, and beneficiaries in a variety of trust and estate disputes.

SESSIONS:
Brett Bunce
director of Field HR & Talent Acquisition
Cracker Barrel Old Country Store, Inc.
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SESSIONS:
 
Tuesday, March 19, 2019 - 3:30pm to 4:00pm
 
Tuesday, March 19, 2019 - 11:30am to 1:00pm
 
Tuesday, March 19, 2019 - 10:00am to 10:30am

Tulane University Law School

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