As we head into the summer months, the Office of State Ethics has a lot going on of interest to the regulated community. As we posted last week, the agency drew 40 names of client lobbyists who will be subject to audit during the coming months. In addition, a recent email notified public officials that they will for the second year be auditing a 10% sample of their Statements of Financial Interest or SFIs. At last week’s Advisory Board meeting, Executive Director Carol Carson reported to the members that the Enforcement Division would begin sending out notices to public officials 30 days after a report has been filed by a lobbyist indicating that a benefit for that public official has been made. Finally, the Board members discussed the need to find replacements for the three open seats on the nine-member Advisory Board.
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