List of Currently and Previously Disciplined Practitioners

This page provides a comprehensive list of practitioners who have faced disciplinary action, both currently and in the past. It includes essential details about their cases, the nature of the sanctions imposed, and any relevant dates.

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1,380 Entities in List of Currently and Previously Disciplined Practitioners
Entity NameEntity TypeEffective DateStatus

Alan Edward Koczela

IndividualAug 10, 2000active

Sabrina Price

IndividualJul 23, 2014active

John E Price

IndividualJun 1, 2006active

Andrew Jaiah Kai Kai

IndividualJun 27, 2023active

Nelson Gonzalez

IndividualApr 11, 2023active

Eric A Jones

IndividualJul 30, 2013active

Michael A Walker

IndividualApr 11, 2007active

Zhen Xiang Wang

IndividualNov 22, 2011active

Nathan Bret Kennedy

IndividualJul 21, 2022active

Samir Zia Chowhan

IndividualJan 9, 2012active

FAQs

Why is compliance with the List of Currently and Previously Disciplined Practitioners necessary?

Compliance with the list of currently and previously disciplined practitioners is essential for maintaining professional integrity and public trust. These lists serve as a critical resource for ensuring that individuals and organizations engage only with practitioners who uphold the highest ethical standards. By adhering to these guidelines, stakeholders can protect themselves from potential misconduct and safeguard their interests, ultimately contributing to a professional environment that values accountability and transparency. Regularly consulting these lists is a vital step in fostering sustainable professional relationships.

Which companies should comply with List of Currently and Previously Disciplined Practitioners?

The list of currently and previously disciplined practitioners is vital for the healthcare, legal, financial, and educational industries. Companies in these sectors must comply to ensure they hire qualified professionals, maintain ethical standards, and protect their reputations. Failing to adhere to these listings can lead to liability, regulatory penalties, and diminished trust among clients and stakeholders.