Certificate In Employee Benefits Law Seminar Agenda Seminar: ID# 1283773
Agenda Block I: Retirement Plans (Monday and Tuesday)
Overview of the Statutes and Regulatory Agencies Governing Retirement Plans
The Alphabet of Laws (ERISA, ADA, COBRA, FMLA, GATT, USERRA, HIPAA and EGTRRA) and agencies
(IRS, DOL, EBSA, PBGC, EEOC, SEC and HCFA)
ERISA Title I and Title II and the division of authority between the IRS, the Department of
Labor and the PBGC
Overview of plan types and qualification requirements
Fiduciary Rules and Investing Plan Assets
Overview of prohibited transactions, exemptions, penalties and corrections
Participant investment direction-Is 404(c) worth all the trouble?
Participant investment direction in an up and down market
When investments go bad, who is liable?
Plan fiduciaries, co-fiduciary liability and the liability of service providers
Paying expenses from plan assets.
Why is the Department of Labor so interested in proxy voting?
The lessons being learned from Enron
Investment of education versus advice
Nondiscrimination Testing for Retirement Plans
Overview of nondiscrimination testing of participation, benefits, and contributions
Controlled groups rules
Highly compensated employee definition
Coverage rules (Code Section 410(b)), including QSLOBs
Nondiscriminatory Contributions (Code Section 401(a)(4))
Safeharbors and general rules for contributions
Testing benefits, rights, and features
Cross testing and age weighted profit sharing plans
401(k) and 401(m) testing and safe harbor plans
Dealing with failed 401(k) and 401(m) testing
Plan Administration
Day-to-Day challenges of plan administration
Participant loans
QDROs
Salary deferrals and catch-up contributions
Paperless administration
Sarbanes-Oxley and blackout periods
ERISA Section 204(h) notices
Suspension of benefits provisions
Plan Distributions
When can participants take money out of the plan?
Withholding and rollovers
Consent rules
Joint and survivor rules
Hardship distributions
Code Section 411(d)(6) Anti-cutback rules and elimination of distribution methods
Minimum required distributions at age 70½
Retroactive annuity starting dates
Plan Audits and IRS and DOL Voluntary Compliance Programs
Plan Qualification: What is it?
What happens if a plan is disqualified?
IRS audit targets
Correcting errors under IRS compliance programs
Correcting errors discovered by IRS in an audit
Late forms filing and how to resolve
Voluntary Fiduciary Correction Program
Compliance audits/compliance controls
Early Retirement Incentive Programs
Designing the program to achieve goals
Designing the program to comply with ADEA waiver rules
Designing to comply with 401(a)(4) rules for retirement early windows
What the courts are telling us about early retirement windows and ADEA waivers
Government and Nonprofit Employers - Qualified and Nonqualified Plans
Who is the employer? How controlled group rules apply to government and nonprofit employees
Qualification standards for government plans
Code Section 403(b) plans-contribution limits and IRS audit and voluntary correction programs
Eligible and Ineligible Code Section 457 plans
Block II: Special Employee Benefits Issue (Wednesday)
ERISA Compliance
Learn which plans ERISA covers
How to deal with state law requirements
Plan documentation and reporting obligations to participants and the government
Administering benefit claims
Making your administrative decisions bullet-proof
Arbitration of benefit claims
Understanding and satisfying fiduciary obligations
Identifying and investing plan assets
Protecting your plan's right to reimbursement
Avoiding the anti-cutback rule
Executive Compensation
Qualified versus non-qualified plans
Top Hat Plans - how to avoid the trap set by ERISA and the Code
Code Section 409A - the new deferred compensation rules
Stock options and other equity-based awards
Change-in-control and severance payments
Benefit Issues Arising in Corporate Mergers and Acquisitions
Understand the benefits issues and alternatives in M&A transactions
Partial plan terminations and vesting
How to terminate a plan
Protected benefits and formerly protected benefits
Wraparound or wear-away benefits
Transition periods for minimum coverage and participation requirements
Health plan issues: COBRA and related matters
Severance
Block III: Welfare Benefit Plan Issues (Thursday and Friday)
ERISA Compliance for Health & Welfare Plans
Which welfare plans are subject to ERISA
Reporting requirements (Form 5500)
Disclosure requirements (SPD, SMM, etc.)
Electronic SPDs
Plan funding rules
Trust requirements
What funds are plan assets
Cafeteria plan trust moratorium
Fiduciary Obligations
Prohibited transaction issues
New DOL claim procedure requirements
ERISA 510 claims
Impact of ERISA on claims litigation
Preemption and state law regulation
HIPAA's Impact on Health Plans
HIPAA Portability
Pre-existing condition limitations
HIPAA non-discrimination requirements
HIPAA certificates of creditable coverage
HIPAA Privacy Overview
Privacy issues for health plan sponsors
Business associate contract requirements
The H & W Plan Alphabet
Impact of employment nondiscrimination laws on H & W benefits
ADEA (Erie update)
Pregnancy Discrimination Act
Americans With Disabilities Act
Family and Medical Leave Act (FMLA)
Military leave (USERRA)
Health plan mandates
QMCSOs
Mental Health Parity
Medicare Secondary
Cancer Rights Act
Cafeteria Plan Issues
Cafeteria plan basics
Which benefits can be pre-taxed
Who can participate
The irrevocable election rule and change in status exceptions
Health FSAs
Which expenses qualify
Claim substantiation rules
Dependent Care FSAs
Which expenses qualify
Impact on child care tax credit
Transit/Parking Plans
Consumer Driven Health Care
Health Savings Accounts (HSAs)
Introduction to HRA rollover accounts
Order:
Certificate In Employee Benefits Law Seminar
Special Pricing: Regular: $2,375.00Early Bird: $1,950.00 (Valid through 8/7/2025)
Metropolitan Area:Las Vegas
Venue:Las Vegas venue to be announced
Dates: 10/6/2025 - 10/10/2025 (8:00 am - 4:00 pm)
Qty: