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Your Guide to the Corporate Transparency Act 2023

Product ID: CA3569R11
Presented By: State Bar of Wisconsin PINNACLE

Endorsed by the Business Law Section and the Real Property, Probate and Trust Law Section of the State Bar of Wisconsin

Your corporate headquarters

Starting January 1, 2024, the Corporate Transparency Act (CTA) requires most private business entities to identify and report beneficial ownership information to the federal government. Failure to comply with the CTA’s reporting requirements can result in significant civil or criminal penalties. Lawyers will play a critical role in helping businesses navigate the CTA, so you need to have a plan in place for your current and future business clients.

Be prepared to advise your clients on compliance with Your Guide to the Corporate Transparency Act – a webcast seminar and companion PDF guide that will walk you through definitions, covered entities, and reporting requirements of the CTA. 

Develop a solid understanding of: 

  • The CTA’s impact on your role in the formation of entities
  • How reporting companies, beneficial owners, company applicants, and beneficial ownership information are defined in the CTA
  • Key dates and time periods for initial and ongoing reporting
  • Which entities are required to report and which are exempt
  • What information must be reported and when 
  • What happens if an entity’s prior exemption expires
Read More ↓

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Select a Format

OnDemand seminar
Course manual (PDF)

Pricing

Member $229.00

Non-Member $279.00

Credits

3 CLE

Date and Time

Wednesday, February 28, 20248:30 AM - 11:25 AM CT

Add to Calendar 2/28/2024 8:30:00 AM 2/28/2024 11:25:00 AM America/Chicago Your Guide to the Corporate Transparency Act 2023

Endorsed by the Business Law Section and the Real Property, Probate and Trust Law Section of the State Bar of Wisconsin

Your corporate headquarters

Starting January 1, 2024, the Corporate Transparency Act (CTA) requires most private business entities to identify and report beneficial ownership information to the federal government. Failure to comply with the CTA’s reporting requirements can result in significant civil or criminal penalties. Lawyers will play a critical role in helping businesses navigate the CTA, so you need to have a plan in place for your current and future business clients.

Be prepared to advise your clients on compliance with Your Guide to the Corporate Transparency Act – a webcast seminar and companion PDF guide that will walk you through definitions, covered entities, and reporting requirements of the CTA. 

Develop a solid understanding of: 

  • The CTA’s impact on your role in the formation of entities
  • How reporting companies, beneficial owners, company applicants, and beneficial ownership information are defined in the CTA
  • Key dates and time periods for initial and ongoing reporting
  • Which entities are required to report and which are exempt
  • What information must be reported and when 
  • What happens if an entity’s prior exemption expires
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Endorsed by the Business Law Section and the Real Property, Probate and Trust Law Section of the State Bar of Wisconsin

Your corporate headquarters

Starting January 1, 2024, the Corporate Transparency Act (CTA) requires most private business entities to identify and report beneficial ownership information to the federal government. Failure to comply with the CTA’s reporting requirements can result in significant civil or criminal penalties. Lawyers will play a critical role in helping businesses navigate the CTA, so you need to have a plan in place for your current and future business clients.

Be prepared to advise your clients on compliance with Your Guide to the Corporate Transparency Act – a webcast seminar and companion PDF guide that will walk you through definitions, covered entities, and reporting requirements of the CTA. 

Develop a solid understanding of: 

  • The CTA’s impact on your role in the formation of entities
  • How reporting companies, beneficial owners, company applicants, and beneficial ownership information are defined in the CTA
  • Key dates and time periods for initial and ongoing reporting
  • Which entities are required to report and which are exempt
  • What information must be reported and when 
  • What happens if an entity’s prior exemption expires
Read More ↓

Timothy J. Pierce has been Ethics Counsel for the State Bar of Wisconsin since 2004.  He received his undergraduate degree from the University of Wisconsin–Madison and his law degree, cum laude, from the University of Wisconsin Law School.  Mr. Pierce was previously a Deputy Director at the Office of Lawyer Regulation in Milwaukee and Madison.  He has also been employed as the Ethics Administrator for Milbank, Hadley, Tweed & McCloy, in New York, and as an Assistant State Public Defender in Racine.  He is a member of the State Bar of Wisconsin.  He is a frequent speaker on matters of professional ethics and has given hundreds of CLE presentations to a wide variety of groups on professional responsibility law.  He serves as reporter for the State Bar’s Committee on Professional Ethics and writes the monthly “Ethical Dilemmas” column for the State Bar of Wisconsin.  He has also taught Professional Responsibilities at the University of Wisconsin Law School since 2011 and currently serves as a Volunteer Subject Matter Expert for the MPRE.

Kent L. Schlienger is a member of the Madison law firm Neider & Boucher, S.C. He received his undergraduate degree from the University of Wisconsin-Milwaukee in 1982 and his law degree from the University of Wisconsin Law School in 1985. Mr. Schlienger is a member of the State Bar of Wisconsin, the American Bar Association, and the Business Law Sections of both bar associations. His practice focuses on entity formation and governance, mergers and acquisitions, and venture capital financing. Mr. Schlienger was a coauthor of the original edition (1991) of the State Bar of Wisconsin publication, Organizing a Wisconsin Business Corporation, and has been the primary author of its subsequent supplements and revised editions. 

Sam Wayne practices business law and business litigation with Neider & Boucher, S.C. He has advised clients on a wide variety of matters including stock and asset purchases, entity formations and financing, commercial contracts, restrictive covenants, intellectual property protection, and regulatory compliance. He handles most of the firm’s litigation matters, handling disputes in Wisconsin and Federal courts. He currently serves on the State Bar’s Business Law Section Board of Directors, and served on its Board of Governors from 2017-2021 and Anti-Sexual Harassment Task Force and Oversight Committee from 2020-2023. He was named a SuperLawyers Rising Star from 2018 – 2021 and as one of the Best Lawyers in America for Commercial Litigation in 2023. He has been a Fellow of the Wisconsin Law Foundation since 2018. He ran his own solo practice from 2009-2010 and 2014-2021.

  • Confidently advise clients on compliance with the Corporate Transparency Act
  • Avoid sizable potential civil and criminal penalties for noncompliance 
  • Obtain sample language and other practice aids to reference and keep you on track
  • Identify and mitigate potential ethical problems before they arise 
  • Attorneys who advise businesses
  • Estate planning attorneys who use LLCs and LLPs as planning tools
  • Managers and administrators of law firms registered as LLCs or LLPs
  • General practitioners 

All seminar attendees will receive as course materials a PDF copy of Your Guide to the Corporate Transparency Act, a companion publication that explains the CTA, poses important questions not explained by the act, and helps you make compliance a standard component of your practice. Written by presenter Kent L. Schlienger and reviewed by State Bar of Wisconsin PINNACLE® attorney editors, the comprehensive manual will enable you to implement systems to keep your clients and your firm in compliance with the CTA. If you are unable to attend the seminar, the PDF manual can also be purchased separately for use in your practice.

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