Ethics: Court Orders, Confidentiality, and Compliance
Ethics: Court Orders, Confidentiality, and Compliance
CPE Credit:
2
Overview
Description:
Tax professionals often find themselves navigating complex ethical terrain when responding to court-ordered summonses, especially in emotionally charged settings like divorce. This course explores the ethical obligations and legal boundaries that govern the disclosure of taxpayer information, with a focus on IRC 7216 and 6713, Circular 230, and the Gramm-Leach-Bliley Act (GLBA).
Through scenario-based learning and practical analysis, participants will examine how ethical principles intersect with legal mandates and how to maintain professional integrity when faced with conflicting client interests, ambiguous court orders, or pressure to over-disclose. This course emphasizes informed consent, scope limitations, and the preparer’s duty to protect confidentiality even when disclosure is legally permitted. This course provides the tools and frameworks needed to make sound decisions, avoid regulatory pitfalls, and uphold the highest standards of practice in sensitive legal contexts.
This event may be a rebroadcast of a live event and the instructor will be available to answer your questions during the event.
Field of Study:
Regulatory Ethics (2 CPE)
Instructor
Instructor:
Mary Jane Hourani, MM, EA, NTPI Fellow
Additional Details
Who should attend:
Enrolled Agent, CPA, Attorney, Certified Financial Planner, Tax Practitioner
Program Level:
Basic
Program Content:
The major topics that will be covered in this course include:
• When and how a court order permits disclosure of tax return information under IRC §7216 and §6713.
• The scope and limitations of disclosure under Circular 230 and the Gramm-Leach-Bliley Act (GLBA).
• Best practices for responding to court orders while maintaining compliance and minimizing liability.
• Risks of over-disclosure and unauthorized communication during mediation proceedings.
Learning Objectives:
After attending this presentation, you will be able to…
• Interpret ethical obligations under IRC §§7216 and 6713, Circular 230, and the Gramm-Leach-Bliley Act when responding to court orders.
• Distinguish between legally permissible disclosures and ethically questionable conduct in mediation settings.
• Apply ethical decision-making frameworks to real-world scenarios involving dual representation and conflicting client interests.
• Implement best practices for protecting taxpayer confidentiality while complying with legal mandates.
Prerequisites:
None
Advanced Preparation:
None
Developed By:
Hourani & Associates Inc
Format:
Group-Internet-Based
Course Code:
HIMHECO2
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NASBA Sponsor
Ethics: Court Orders, Confidentiality, and Compliance
Course Code:
HIMHECO2
Program Level:
Basic
Description:
Tax professionals often find themselves navigating complex ethical terrain when responding to court-ordered summonses, especially in emotionally charged settings like divorce. This course explores the ethical obligations and legal boundaries that govern the disclosure of taxpayer information, with a focus on IRC 7216 and 6713, Circular 230, and the Gramm-Leach-Bliley Act (GLBA).
Through scenario-based learning and practical analysis, participants will examine how ethical principles intersect with legal mandates and how to maintain professional integrity when faced with conflicting client interests, ambiguous court orders, or pressure to over-disclose. This course emphasizes informed consent, scope limitations, and the preparer’s duty to protect confidentiality even when disclosure is legally permitted. This course provides the tools and frameworks needed to make sound decisions, avoid regulatory pitfalls, and uphold the highest standards of practice in sensitive legal contexts.
This event may be a rebroadcast of a live event and the instructor will be available to answer your questions during the event.
Program Content:
The major topics that will be covered in this course include:
• When and how a court order permits disclosure of tax return information under IRC §7216 and §6713.
• The scope and limitations of disclosure under Circular 230 and the Gramm-Leach-Bliley Act (GLBA).
• Best practices for responding to court orders while maintaining compliance and minimizing liability.
• Risks of over-disclosure and unauthorized communication during mediation proceedings.
Learning Objectives:
After attending this presentation, you will be able to…
• Interpret ethical obligations under IRC §§7216 and 6713, Circular 230, and the Gramm-Leach-Bliley Act when responding to court orders.
• Distinguish between legally permissible disclosures and ethically questionable conduct in mediation settings.
• Apply ethical decision-making frameworks to real-world scenarios involving dual representation and conflicting client interests.
• Implement best practices for protecting taxpayer confidentiality while complying with legal mandates.
Who should attend:
Enrolled Agent, CPA, Attorney, Certified Financial Planner, Tax Practitioner
Developed By:
Hourani & Associates Inc
Instructor:
Mary Jane Hourani, MM, EA, NTPI Fellow
CPE Credit:
2
Field of Study:
Regulatory Ethics (2 CPE)
Prerequisites:
None
Advanced Preparation:
None
Format:
Group-Internet-Based
OR
Register By Phone: Call 877.370.2220 and press “1” for the webinar hotline to register
Price
Single Registration
$89.00
Upcoming Dates
- 5/11/2026 @ 3:30 PM
- 5/27/2026 @ 12:00 PM
- 6/13/2026 @ 9:30 AM
- 6/24/2026 @ 10:30 AM
- 7/9/2026 @ 9:00 AM
- 7/23/2026 @ 3:30 PM
- 8/5/2026 @ 2:30 PM
- 8/21/2026 @ 3:00 PM
- 8/31/2026 @ 10:00 AM
- 9/17/2026 @ 9:00 AM
- 9/28/2026 @ 10:00 AM
- 10/16/2026 @ 4:00 PM
- 10/28/2026 @ 2:30 PM
- 11/10/2026 @ 3:30 PM
- 11/27/2026 @ 10:30 AM
- 12/10/2026 @ 3:00 PM
- 12/22/2026 @ 11:00 AM
- 1/6/2027 @ 3:30 PM
- 1/19/2027 @ 12:00 PM
- 2/1/2027 @ 4:00 PM
- 2/17/2027 @ 12:00 PM
- 3/4/2027 @ 3:00 PM
All times are Eastern Time Zone