Each of us has a role to help promote within the University a culture of compliance with the law and ethics. That role includes seeking guidance when appropriate and reporting potential, known, or suspected violations of the Code of Conduct or other policies. These reports should be directed to your supervisor or the University official overseeing the conduct in question.
As an alternative, you may direct your report to the Office of Compliance, either:
* directly or
*through EthicsPoint, Inc. (which allows for anonymity)
To make a report through EthicsPoint, Inc., you may either:
(1) go to the EthicsPoint website at http://rosalindfranklin.ethicspoint.com or
(2) dial the EthicsPoint toll-free telephone number of 1-800-254-0460.
Links to Various Policies
Accounting and Business Office
Chicago Medical School
Code of Conduct
College of Health Professions
Conflict of Interest
Dr. William M. Scholl College of Podiatric Medicine
Faculty Affairs
Financial Aid
Fraud Risk Management
Human Resources (HR)
Institutional Advancement
Learning Resources
Mail Center
Mission/Vision/Core Values/Bylaws
Purchasing
Registrar
Research
School of Graduate and Postdoctoral Studies
Security
Shipping and Receiving
Student Affairs
[pdf version]
endorsed by Faculty Senate: September 5, 2008
approved by President's Cabinet: September 17, 2008
approved by Board of Trustees: November 13, 2008
I. General Provisions II. Conflicting Interests IIII. Fiscal Affairs IV. Governmental Affairs V. Official Records and Statements VI. Use of University Time And Resources VII. Working Environment VIII. Reporting Concerns and Non-Retaliation
The Code of Conduct is a collection of broad statements designed to provide standards for proper decision-making in everyday practice that reflects the shared obligation of the entire University community to act consistent with the law and ethics.
Note that the term “covered persons” means University faculty, staff, volunteers, and others who exercise authority on behalf of or in affiliation with the University. All covered persons, when exercising authority on behalf of or in affiliation with the University, are required to comply with the Code of Conduct, violations of which may result in sanctions, including termination. Questions or requests seeking guidance about matters contained in the Code of Conduct may be addressed to your supervisor or to the Chief Compliance Counsel (847-578-8308).
I. GENERAL PROVISIONS I.1. Covered persons shall comply with applicable federal, state, and local laws. I.2. Covered persons shall perform activities with integrity, honesty, and sense of fairness. I.3. Covered persons shall become familiar with and act consistent with the relevant University policies and procedures.
[a University policy regarding compliance reviews conducted by the Office of Compliance is linked here]
II. CONFLICTING INTERESTS II.1. Covered persons shall not allow any interest to inappropriately influence their judgment or the good faith execution of their duties. II.2. Covered persons shall make timely disclosure to the proper authority of any interest that is or appears to be in conflict with their judgment or good faith execution of their duties. II.3. Any covered person who provides or is requested to provide information to a decision-maker shall contemporaneously make disclosure of any interest that is or appears to be in conflict with an accurate, unbiased, and impartial presentation of that information. II.4. Any covered person shall not participate as a member of a committee or board in a matter in which that covered person has an interest that is or appears to be in conflict with their judgment or good faith execution of committee or board duties.
[some specific conflict of interest policies are linked here]
III. FISCAL AFFAIRS III.1. Covered persons shall ensure any claim, bill, request, or solicitation for funds made under their authority or control is true to the best of their knowledge and belief and that it does not contain false, misleading, or otherwise inappropriate assertions. III.2. Covered persons shall return funds in their possession or control that were collected in error. III.3. Covered persons may use funds in their possession or control only in accordance with the applicable conditions associated with the funds.
[further information about fraud risk management is linked here]
IV. GOVERNMENTAL AFFAIRS IV.1. Covered persons shall ensure that any communication to government officials or representatives is true to the best of their knowledge and belief and that it does not contain false, misleading, or otherwise inappropriate assertions. IV.2. Covered persons shall timely respond to lawful requests of or other communications from government officials and shall not impede or obstruct the due administration of justice.
V. OFFICIAL RECORDS AND STATEMENTS V.1. Covered persons shall ensure, to the best of their knowledge and belief, that information entered under their authority or control into an official University record is true and that it does not contain false, misleading, or otherwise inappropriate assertions. V.2. Covered persons shall use reasonable safeguards to protect University records from loss or inappropriate alteration or destruction and shall not create, use, or destroy University records for the purposes of deception. V.3. Covered persons shall ensure, to the best of their knowledge and belief, that any verbal, written, or other statement made under their authority or control is true and that it does not contain false, misleading, or otherwise inappropriate assertions. V.4. Covered persons shall utilize reasonable safeguards to protect information deemed confidential from unauthorized use and disclosure and shall not use or disclose such confidential information for unauthorized purposes.
[a University record retention and destruction policy is linked here]
VI. USE OF UNIVERSITY TIME AND RESOURCES VI.1. Covered persons shall efficiently utilize University time and not waste or otherwise use University time for unauthorized or inappropriate purposes. VI.2. Covered persons shall protect, conserve, and efficiently utilize University resources and not waste or otherwise use them for unauthorized or inappropriate purposes.
VII. WORKING ENVIRONMENT VII.1. Covered persons shall treat others fairly and with honesty, dignity, and respect. VII.2. Covered persons shall not engage in or tolerate unlawful discrimination. VII.3. Covered persons shall not use their positions of authority to coerce, intimidate, or improperly influence another regarding the use of their personal funds, property, or time. VII.4. Covered persons shall follow and comply with health and safety practices and standards.
[access to Human Resources policies, including the equal employment opportunity policy, is linked here]
[access to Environmental Health and Safety policies is linked here]
VIII. REPORTING CONCERNS AND NON-RETALIATION VIII.1. Covered persons shall promptly report or seek guidance regarding potential, known, or suspected violations of the Code of Conduct to their supervisor, to a University official overseeing the conduct in question, or to the Office of Compliance, which may be accomplished directly or through the use of the toll-free number allowing anonymity (800-254-0460). VIII.2. Covered persons shall cooperate in the investigation and resolution process regarding an allegation of a potential, known, or suspected violation of the Code of Conduct. VIII.3 Covered persons shall not subject any other person to retaliation, retribution, or reprisal for making a good faith report of, seeking guidance regarding, or participating in the investigation or resolution of a potential, known, or suspected violation of the Code of Conduct.
[a University reporting system policy is linked here]
[a University investigation policy for the Office of Compliance is linked here]
[a University policy regarding resolutions to incidents of noncompliance is linked here]