c

Using the New Jersey Wage Hub for Certified Payroll Reporting




c

The Outcome of the UK General Election and What It Might Mean for Employment Law




c

Chevron is Gone. What’s Next for Labor and Employment Law?




c

Mexico's Human Trafficking Law Reform: Are Employers at Risk of Criminal Sanctions for Scheduling Overtime?




c

Understanding the NLRB’s Healthcare Rule in Light of Recent Union Organizing Trends and Board Decisions




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Navigating New Pay Transparency Policies




c

Managing Legal Compliance and Workplace Culture in the Nevada Cannabis Industry




c

Using the New Jersey Wage Hub for Certified Payroll Reporting




c

How Employers Can Best Protect Themselves in Montana




c

Using the New Jersey Wage Hub for Certified Payroll Reporting




c

California’s New Indoor Heat Illness Prevention Regulation Is Already in Effect




c

Using the New Jersey Wage Hub for Certified Payroll Reporting




c

Considerations for Compliance with FTC Noncompete Rule




c

Navigating the Patchwork of State and Local AI Regulations




c

Post 80/20/30 Landscape? What is Next for the Hospitality Industry?




c

Child Labor in the United States and Beyond: A Legal, Moral, and PR Nightmare for Employers




c

What Employers Need to Know About the UK Worker Protection Act




c

The Presidential Elections and the Immigration Consequences




c

Election Season: Navigating Politics in an Inclusive Work Environment




c

Annual California Legislative Employment Law Update




c

Politics in the Workplace: What Employers Need to Know




c

2024 Post-Election Recap and Outlook for Labor and Employment Policy




c

Politics in the Office: Infinitely Spookier than Halloween




c

Navigating the New Labor Law Landscape




c

The New Jersey Wage Hub Unpacked: A 60-day Review of the New Jersey Wage Hub and What Comes Next




c

Maryland Paid Sick and Safe Leave for Businesses 101




c

Return-to-Office Policies: Key Employer Considerations




c

Now That the Election Is Over, Here’s What Texas Employers Can Expect




c

Companies Seeking Stimulus Funds Should Expect a More Aggressive OFCCP

As part of the Obama administration's commitment to accountability in spending under the American Recovery and Reinvestment Act (ARRA), the federal Office of Federal Contract Compliance Programs (OFCCP) will be tracking its ARRA-related and non-ARRA-related enforcement activities separately and aggressively auditing recipients of ARRA funds.

On July 7, 2009, OFCCP released a new directive that explains the different procedures that will apply in scheduling and conducting compliance evaluations for ARRA-funded contractors versus other federal contractors.




c

IRS to Launch Employment Taxes Audit of 5,000 Employers – Is Your Company Ready?

The Internal Revenue Services (IRS) has announced that beginning in November 2009 it will launch its latest National Research Program (NRP). This NRP will be focused on conducting detailed employment taxes examinations. Approximately 5,000 or more employers are to be randomly selected for audit. In addition to potential "assessments," these audits will provide the IRS with the statistical sample of overall employment taxes compliance. The audit program will be conducted over a three year period with at least 2,000 employment tax audits conducted per year.




c

IRS Delays Launching Employment Taxes Audit Until February 2010. IRS Plans to Target 6,000 Employers Over 3-Year Period – Is Your Company Ready?

The Internal Revenue Services (IRS) has announced a delay in beginning a comprehensive employment tax audit program originally scheduled for November 2009 but now scheduled to begin February 2010. In February, the IRS will launch its latest National Research Program (NRP). This NRP will be focused on conducting detailed employment taxes examinations. Approximately 6,000 employers are to be randomly selected for audit. In addition to potential "assessments," these audits will provide the IRS with the statistical sample of overall employment taxes compliance.




c

U.S. Department of Labor Targets Connecticut and Rhode Island Construction Industry Employers

Connecticut and Rhode Island construction industry employers are facing a significant increase in government scrutiny of their labor and employment practices over the next several years. On November 30, 2011, the Hartford office of the U.S Department of Labor's Wage and Hour Division ("U.S. DOL") issued a press release announcing a "multiyear enforcement initiative" aimed at improving what it sees as "widespread noncompliance with minimum wage, overtime and record-keeping provisions of the Fair Labor Standards Act" in the construction industry in both Connecticut and Rhode Island.




c

Wage and Hour Compliance




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Once Bitten, Twice Shy: COBRA Excise Tax Audits May Add to COBRA's Bite

The advent of Health Care Reform has not lessened the importance of complying with existing Employee Retirement Income Security Act (ERISA) and Internal Revenue Code requirements for employer-provided group health plans, such as COBRA, which requires covered health plans to provide certain notices and the opportunity to elect continued coverage to covered persons (qualified beneficiaries) who would otherwise lose coverage because of certain "qualifying events" such as termination of employment, loss of dependent status, and others.

IRS Updated COBRA Audit Guidelines




c

Challenges and Best Practices for Home Care Employers Following the Elimination of the Companionship Exemption

On October 1, 2013, the Department of Labor's Wage and Hour Division (DOL) published a final rule in the Federal Register eliminating the Fair Labor Standard Act's (FLSA) minimum wage and overtime exemption for home care workers employed by home care agencies and other companies.  The new regulations also significantly narrow the exemption for home care workers employed directly by the individuals or families receiving home care services. 




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New Case Provides Lessons That May Help Companies Avoid Pitfalls When Structuring Independent Contractor Relationships

The district court's opinion denying cross-motions for summary judgment in Bobbitt v. Broadband Interactive, Inc., No. 8:11-cv-2855 (M.D. Fla. Oct. 21, 2013) illustrates how not to structure an independent contractor relationship and how not to lay the groundwork to defend that relationship in the event of litigation.  The case also serves as a warning that even well-conceived independent contractor relationships may be open to question by a court that is inclined to distrust them.

Background




c

Employment Law: Trends, Threats, and Tactics in 2014




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Employment Law: Trends, Threats, and Tactics in 2014




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Employment Law: Trends, Threats, and Tactics in 2014




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Employment Law: Trends, Threats, and Tactics in 2014




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Confidentiality and Attorney-Client Privilege Issues When Conducting Internal Investigations and Audits




c

Connecticut Addresses E-Cigarettes and Vapor Products, Imposes Signage Requirements on Select Employers

Connecticut has passed a new law regulating electronic nicotine delivery systems and vapor products in various venues, including numerous places of employment.  Effective October 1, 2015, Public Act No. 15 206 (the Act) supersedes and preempts any relevant provisions of municipal laws or ordinances regarding the use of these products. 

The Law

The Act prohibits the use of electronic nicotine delivery systems and vapor products in:

1. buildings owned or leased and operated by the state or its political subdivisions,




c

Are Outside HR Professionals Necessary in Discrimination Cases?

Mark Phillis discusses the practice of looking to HR professionals to testify in court and conduct workplace investigations.

Bloomberg BNA Human Resources Report

View Article




c

2017 Florida Employer Conference




c

Holiday Gift Giving May Include the Tax Man




c

California Restricts Employer’s Ability to Make Decisions Based on an Individual’s Criminal History




c

Top 10 Employment Law Tips for a Successful 2019




c

Top 10 Employment Law Tips for a Successful 2019




c

Federal Contractor Affirmative Action: Are You Up to Date?




c

Littler Appoints New Practice and Industry Group Chairs

(October 14, 2020) – Littler, the world’s largest employment and labor law practice representing management, has announced a number of leadership changes throughout its various practice and industry groups.

“We congratulate this talented and diverse group of co-chairs,” said Tom Bender and Jeremy Roth, Littler co-managing directors, in a joint statement. “Their deep knowledge and extensive experience in their respective practice areas will continue to enhance the firm’s ability to advise and defend clients on myriad employment and labor law matters across all industries.”