Background
Oringer, Andrew L. was born on January 6, 1958 in New York, New York, United States.
Oringer, Andrew L. was born on January 6, 1958 in New York, New York, United States.
Duke University (Bachelor of Arts, cum laude, 1980). Adelphi University (Master of Business Administration, 1984). Hofstra University (Juris Doctor, with distinction, 1984).
Worked at Rogers & Wells. Admitted to the bar, 1985, New York and District of Columbia. Member, 1982-1984 and Associate Editor, 1983-1984, Hofstra Law Review.
Member, Advisory Board, The Small Business Controller. Member, Advisory Board (Executive Compensation Committee), Taxation of Employee Benefits. Speaker: Practicing Law Institute, Understanding ERISA, Topic: Fiduciary Responsibility, July 1995, July 1996.
American Conference Institute, Employee Stock Ownership Plans, Topic: The Legal Framework, June 6-7, 1995. Institute for International Research, National Employee Benefits Summit '95 and '96, Topic: Non-Qualified Plans - Executive Compensation Issues, April 1995, April 1996. Society of Actuaries, Spring Meeting, June 17, 1994, Topic: Executive Benefits.
Institute for International Research, The Sixth Annual Management Conference on Master Trusts/Custody Services, Topic: Non-Value Added Services and Their Risks, October 1993. Institute for International Research, The Fourth Annual P&I Investment Management Conference, Topic: FAS 106 Financing, Not Funding the Liability, June 1993. Institute for International Research, Conference on Public Fund Boards, Topic: Selected Legal Issues Impacting State and Local Pension Funds, December 1992 (abstract of speech published in Financial Leadership Speaks - The Journal and Index of Financial Speeches (September-December 1992)).
New York University: July 15-19, 1991, Employee Benefits and Executive Compensation, Topic: Retirement Planning for Tax-Exempt Organizations. Spring 1993, Spring 1992, Fall 1991, Corporate Retirement and Welfare Plans, Topic: Medical Benefits. Author or Co-Author: "Executive Compensation," chapter, Controller's Business Advisor (loose-leaf volume).
"The Sun Never Sets on ERISA -- ERISA Implications for Foreign Investment Funds," ERISA and Benefits Law Journal (1996). "Final Regs. Explain $1 Million Cap on Compensation," Taxation for Lawyers (July/August 1996), Taxation for Accountants (June 1996). "Department of Labor Releases Letter Regarding Investment in Derivatives by Employee Benefit Plans Subject to ERISA," Derivatives (November/December 1996).
"Final Nondiscrimination Regs. Issued for Qualified Plans," Journal of Taxation of Employee Benefits (January/February 1994). "Lower-Paid HCEs Are Also Affected by Compensation Limit Final Regs.," Journal of Taxation of Employee Benefits (March/April 1995).
"Qualified Plans face New Rollover and Withholding Rules," Taxation for Accountants (January 1993). "Does the Hancock Decision Ensure Confusion under ERISA?" Journal of Compensation and Benefits (May-June 1994). "The Treatment of Selected Employee Benefits in Bankruptcy," ERISA and Benefits Law Journal (November 1992).
"New IRS Dogma: Model Rabbi Trust Released," Benefits Law Journal (Winter 1992/93). "Unwrapping the ESOP Package," Taxes - The Tax Magazine (January 1990). "Financing and Tax Advantages Make ESOPs More Important Than Ever," Corporate Taxation (July/August 1989).
"Levies on Utilities for Sales on Reservations: To Tax Or Not To Tax," 20 Gonzaga Law Review 375 (1984/1985). Member: New York State and American Bar Associations.
Member, 1982-1984 and Associate Editor, 1983-1984, Hofstra Law Review. Member, Advisory Board, The Small Business Controller. Member, Advisory Board (Executive Compensation Committee), Taxation of Employee Benefits.
Speaker: Practicing Law Institute, Understanding ERISA, Topic: Fiduciary Responsibility, July 1995, July 1996. American Conference Institute, Employee Stock Ownership Plans, Topic: The Legal Framework, June 6-7, 1995. Institute for International Research, National Employee Benefits Summit '95 and '96, Topic: Non-Qualified Plans - Executive Compensation Issues, April 1995, April 1996.
Society of Actuaries, Spring Meeting, June 17, 1994, Topic: Executive Benefits. Institute for International Research, The Sixth Annual Management Conference on Master Trusts/Custody Services, Topic: Non-Value Added Services and Their Risks, October 1993. Institute for International Research, The Fourth Annual P&I Investment Management Conference, Topic: FAS 106 Financing, Not Funding the Liability, June 1993.
Institute for International Research, Conference on Public Fund Boards, Topic: Selected Legal Issues Impacting State and Local Pension Funds, December 1992 (abstract of speech published in Financial Leadership Speaks - The Journal and Index of Financial Speeches (September-December 1992)). New York University: July 15-19, 1991, Employee Benefits and Executive Compensation, Topic: Retirement Planning for Tax-Exempt Organizations. Spring 1993, Spring 1992, Fall 1991, Corporate Retirement and Welfare Plans, Topic: Medical Benefits.
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