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2025 is here – discover the top 10 trends shaping the risk and compliance landscape.  

With expanding regulations, emerging risks and growing stakeholder expectations, your organization faces unprecedented challenges. 

Join our webinar as experts Carrie Penman, Vera Cherepanova and Rebecca Walker tackle the top 10 trends defining 2025. You’ll gain exclusive guidance and actionable strategies to avoid falling behind, helping you build a compliance program that can weather any storm. 

You’ll learn: 

  • Actionable insights: Address the challenges posed by AI’s influence on compliance, heightened global supply chain accountability and increasing whistleblower activity 
  • Clear strategies: Tackle complex issues like ESG implementation, workplace civility and mounting regulatory scrutiny 
  • Adaptability for tomorrow: Prepare to navigate a world of growing uncertainty with governance practices and technology designed to manage evolving risks

Exclusive bonus 

Register today to access our 2025 Top 10 Risk & Compliance Trends eBook before the webinar. Don’t wait – ensure your organization is prepared to face what’s next.

Speakers

  • Carrie Penman

    Carrie Penman

    Chief Risk & Compliance Officer

    NAVEX

    Carrie Penman

    Carrie Penman

    Chief Risk & Compliance Officer

    NAVEX

    As one of the earliest ethics officers in the industry, Carrie previously served four years as deputy director of the Ethics and Compliance Officer Association, now ECI. A scientist by training, she developed and directed the first corporate-wide global ethics program at Westinghouse Electric Corporation between 1994 and 1999. Carrie now leads NAVEX’s risk management processes and oversees its internal ethics and compliance program.  

    Carrie has extensive client-facing risk and compliance consulting experience, including more than 15 years as an adviser to boards and executive teams. Carrie was awarded the inaugural Lifetime Achievement Award for Excellence in Compliance 2020 by Compliance Week magazine. In 2017, she received the ECI’s Carol R. Marshall Award for Innovation in Corporate Ethics for an extensive career contributing to the advancement of the ethics and compliance field worldwide.

  • Vera Cherepanova

    Vera Cherepanova

    Executive Director

    Boards of the Future

    Vera Cherepanova

    Vera Cherepanova

    Executive Director

    Boards of the Future

    Vera is an award-winning ethics and compliance expert who writes and speaks about business ethics, workplace culture, behavioral compliance, risk, and governance. She is the Executive Director of Boards of the Future, a non-profit that works with corporate boards globally and advocates for more people with ethics and compliance backgrounds on boards. Vera is the author of Corporate Compliance Program, the first-ever book on compliance in the Russian language, and a co-author of The Transnationalization of Anti-Corruption Law, as well as hundreds of articles on all aspects of ethics, compliance, and governance. Her insights have been featured in the Financial Times, Wall Street Journal, Law360, Compliance Week, and Chartered Management Institute publications. Vera serves as an ethics advisor for market-leading corporations and international not-for-profits. 

    For more information, visit www.veracherepanova.com

  • Rebecca Walker

    Rebecca Walker

    Partner

    Kaplan & Walker LLP

    Rebecca Walker

    Rebecca Walker

    Partner

    Kaplan & Walker LLP

    Rebecca Walker is a partner in the Santa Monica, California office of Kaplan & Walker LLP, a law firm that counsels organizations on the development, implementation and enhancement of compliance and ethics programs. Rebecca specializes in compliance and ethics law and assists organizations in structuring their programs, revising codes of conduct and other related policies. She has conducted numerous assessments of compliance and ethics programs and has served as a monitor for the Department of the Air Force and consulted with the U.S. Securities and Exchange Commission. Rebecca is the author of Conflicts of Interest in Business and the Professions: Law and Compliance, as well as a number of other compliance surveys and published articles. Rebecca received her B.A. from Georgetown University and her J.D. from Harvard Law School.