martindale.com Legal Library
|
Mark D. Wincek Document Search Results (7) Sort by:  | Future Guidance Outlined For Automatic Enrollment, Employer Responsibilities and Waiting Periods Lois Wagman Colbert, Sarah N. Lowe, Karen D. Martinez, Martha L. Sewell, Mark L. Stember, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article February 27, 2012, previously published on February 23, 2012 This month, the Departments of Labor (DOL), Health and Human Services (HHS), and the Treasury released yet another page from their Affordable Care Act playbook in substantially identical forms. The Treasury issued its information in Notice 2012-17 which provides several FAQs (the DOL issued...
|  | Final Summary of Benefits and Coverage Rules - A Rocky Compliance Road for Employer Plans Lois Wagman Colbert, Sarah N. Lowe, Karen D. Martinez, Martha L. Sewell, Mark L. Stember, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article February 21, 2012, previously published on February 20, 2012 On February 14th the Departments of Treasury, Labor and Health and Human Services (the Departments) issued final regulations regarding the Summary of Benefits and Coverage (SBC) Rules under the Affordable Care Act.
|  | Information Statements Due by January 31, 2012 for ISO Exercises and ESPP Stock Transfers Lois Wagman Colbert, Jennifer Stobie Schumacher, William J. Vesely, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article January 23, 2012, previously published on January 20, 2012 No later than January 31, 2012, employers must provide information statements to their employees to report exercises of incentive stock options (ISOs) and transfers of stock under employee stock purchase plans (ESPPs) that occurred during 2011.
|  | New Guidance Issued for Reporting the Cost of Health Coverage on Forms W-2 Lois Wagman Colbert, Karen D. Martinez, Martha L. Sewell, Mark L. Stember, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article January 12, 2012, previously published on January 10, 2012 In March of 2011, the Internal Revenue Service (Service) issued Notice 2011-28 which provided interim guidance regarding the informational reporting to employees of their employer-sponsored group health plan coverage (the 2011 Notice). The Service has now issued Notice 2012-09 (the 2012 Notice)...
|  | DOL Raises the Stakes for the Audit Quality Initiative Lois Wagman Colbert, Sarah N. Lowe, Martha L. Sewell, Mark L. Stember, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article December 2, 2011, previously published on December 1, 2011 The Department of Labor’s (DOL) initiative to review the quality of employee benefit plan financial audits has been in place for many years, but there are signs that it has recently intensified. We have heard that the DOL is starting to dig deeper into the financial audits that are filed with...
|  | Final Investment Advice Regulations Lois Wagman Colbert, Sarah N. Lowe, Martha L. Sewell, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article November 8, 2011, previously published on November 2, 2011 On October 25, 2011, the United States Department of Labor (DOL) issued (for the second, and hopefully, the last time) final regulations regarding the provision of investment advice to participants and beneficiaries in participant-directed individual account plans and individual retirement plans...
|  | 2012 Benefit Limits Lois Wagman Colbert, Karen D. Martinez, Martha L. Sewell, Mark L. Stember, Mark D. Wincek; Kilpatrick Townsend & Stockton LLP;
Legal Alert/Article November 8, 2011, previously published on October 25, 2011 The IRS and the Social Security Administration have announced the cost-of-living adjustments for various benefit plan limits for 2012. Limits affecting retirement plans are shown directly below and the limits for health and certain other fringe benefit plans are shown on the following page.
|
|