Code of Conduct, Compliance Policies and Procedures-Part II

This week, I am reviewing the importance of a Code of Conduct and anti-corruption compliance policies and procedures in your compliance program and how you should go about drafting or updating Code of Conduct and anti-corruption compliance policies and procedures. Yesterday, I reviewed the underlying legal and statutory basis for the documents as a foundation of your overall anti-corruption regime. Today, I want to look at how to go about drafting your Code of Conduct. In subsequent posts, I will consider both anti-corruption compliance policies and procedures and how to assess, review and revise them and your Code of Conduct on a timely basis.

What is the value of having a Code of Conduct? I have heard many business folks ask that question over the years. In its early days, a Code of Conduct tended to be lawyer-written and lawyer-driven to “wave in a defense situation” by claiming that “see we have one”. But is such a legalistic code effective? Is a Code of Conduct more than simply, your company’s law? What is it that makes a Code of Conduct effective? What should be the goal in the creation of your company’s Code of Conduct?

Carol Switzer, President of the Open Compliance and Ethics Group (OCEG), explored some of these questions in an article in Compliance Week, entitled “The Code of Conduct Conundrum”. As a part of her article, Switzer interviewed Jimmy Lin, Vice President (VP) of Product Management and Corporate Development at The Network, and Kendall Tieck, VP of Internal Audit at Workday, for their thoughts on what makes an effective Code of Conduct.

Tieck views a Code of Conduct as not simply a static piece of paper or document “but as a set of expected behaviors that are integral to the fabric of the business and an organization’s value system ...

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