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The IRS Dirty Dozen: When Tax Planning Becomes Tax Fraud

Identify fraudulent tax schemes, protect your license, and apply a practical defensibility framework to safeguard your firm’s wealth and reputation.

2026-04-30 13:00:00

Program Details

2026-04-30 13:00:00

Program Details

2026-04-30 13:00:00

Over 1,000+ webinars

2026-04-30 13:00:00

Course Overview

Recognizing Tax Fraud Risk

2026-04-30 13:00:00

Participants will learn to distinguish legitimate tax planning from abusive schemes using core legal principles and enforcement trends. A practical defensibility framework helps attorneys protect their firms before implementation.

Format

CLE Credit

2h CLE Credits

Level

Intermediate

Length

2

Key topics that will be covered

01
Fraud line
Clarify the legal boundary between tax avoidance and fraud.
02
Enforcement & the Dirty Dozen
Understand IRS priorities and consequences tied to abusive schemes.
03
Attorney targeting
Examine why high-income attorneys are prime promoter targets.
04
Warning signs
Identify red flags including complexity, secrecy, and guaranteed outcomes
05
Defensibility test
Apply a structured evaluation method before implementing tax strategies,
06
Ethical consequences
Recognize financial, civil, criminal, and reputational impacts of violations

Program schedule

clock 1:00 pm - 1:12 pm EST

Program Framework and Context

This session establishes the growing risk of tax fraud for law firm owners amid aggressive promotions. It explains why high-income attorneys are targeted and how social media amplifies exposure, focusing on recognizing red flags and protecting professional reputation.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 1:12 pm - 1:24 pm EST

Learning Objectives

Participants learn to distinguish legitimate tax planning from abusive or fraudulent schemes. The session highlights common red flags, including those in the IRS “Dirty Dozen,” and provides a practical framework to evaluate tax advice before implementation and reduce exposure.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 1:24 pm - 1:36 pm EST

Setting the Foundation: Tax Planning v. Tax Fraud

This session defines the legal boundary between tax avoidance and tax evasion, addressing substance-over-form and economic substance doctrines. It emphasizes risks of “gray area” thinking and reinforces that ultimate responsibility for compliance remains with the taxpayer.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 1:36 pm - 1:48 pm EST

Why Law Firm Owners are Prime Targets

This segment explores why high-income attorneys are frequently targeted by aggressive tax promoters. It examines psychological drivers, authority bias, and marketing tactics such as urgency and guaranteed results. Attorneys will learn how complexity and entity structuring are often used to create false legitimacy.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 1:48 pm - 2:00 pm EST

The IRS Dirty Dozen: High Level Guideline

This session reviews the IRS “Dirty Dozen” as a key enforcement tool. It highlights schemes affecting law firm owners, including conservation easements and ERC abuse, and explains how enforcement actions unfold and the resulting financial and legal consequences.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 2:10 pm - 2:25 pm EST

Consequences of Getting It Wrong

This session outlines the financial consequences of improper tax strategies, including back taxes, penalties, and interest. It also addresses civil and criminal exposure, prolonged audits, and reputational harm, emphasizing that reliance on advisors does not eliminate liability.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 2:25 pm - 2:40 pm EST

Practical Risk Assessment Framework

Participants are introduced to a practical framework for evaluating tax strategies before implementation. The session focuses on business purpose, transparency, advisor incentives, and defensibility, while identifying warning signs such as unnecessary complexity, secrecy, and unrealistic promised outcomes.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 2:40 pm - 2:55 pm EST

Next Steps

This session provides practical guidance for addressing questionable tax strategies. Attorneys learn how to pause implementation, ask informed questions, and seek independent review. A red flag checklist supports proactive decision-making and helps reduce risk exposure moving forward.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 2:55 pm - 3:05 pm EST

Conclusion & Key Takeaways

The session reinforces that tax fraud enforcement is increasing and emphasizes prioritizing defensibility over aggressive structuring. It highlights that complexity does not ensure legitimacy and underscores protecting long-term wealth, professional reputation, and personal freedom through sound decision-making

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
clock 3:05 pm - 3:10 pm EST

Q&A

This interactive session allows participants to address specific concerns and explore real-world applications of the risk framework. Attorneys gain clarity on enforcement trends and strengthen their ability to evaluate tax strategies with greater confidence and informed professional judgment.

Darren P. WurzDarren P. Wurz
Jim KofordJim Koford
Darren P. Wurz

Darren P. Wurz

Wurz Financial Services

Jim Koford

Jim Koford

Wurz Financial Service

Darren P. Wurz

Darren P. Wurz

Wurz Financial Services

Darren P. Wurz, MSFP, CFP®, CEPA®, is the Founder and CEO of Lawyer Millionaire Wealth Advisors, where he works exclusively with law firm owners on business planning, cash flow management, tax strategy, long-term personal financial planning, and investment management. A fiduciary and fee-only advisor, Darren specializes in the unique financial planning needs of attorneys and law firm owners across the country, drawing on his experience as a small business owner to better serve solo practitioners and small firms. He is the author of The Lawyer Millionaire®: The Complete Guide for Attorneys on Maximizing Wealth, Minimizing Taxes, and Retiring with Confidence, published by the American Bar Association, and the host of The Lawyer Millionaire® Podcast. Darren holds a Master of Science in Financial Planning from Golden Gate University and is both a Certified Financial Planner™ professional and a Certified Exit Planning Advisor®. His mission is to help attorneys achieve financial independence as they define it.

Education & Credentials

Darren P. Wurz holds a Master of Science in Financial Planning from Golden Gate University. He is a Certified Financial Planner™ (CFP®) professional and a Certified Exit Planning Advisor® (CEPA®), credentials that reflect his formal training and specialization in comprehensive financial and exit planning strategies.

Recognition & Leadership

Darren is the Founder and CEO of Lawyer Millionaire Wealth Advisors, a firm dedicated exclusively to serving law firm owners. He is the author of The Lawyer Millionaire®: The Complete Guide for Attorneys on Maximizing Wealth, Minimizing Taxes, and Retiring with Confidence, published by the American Bar Association, and he serves as host of The Lawyer Millionaire® Podcast.

Professional Involvement

Darren is an active member of the American Bar Association and the Financial Planning Association. He is also involved locally as a member of the Cincinnati Bar Association, the Northern Kentucky Bar Association, and the Covington Business Council.

Experience

Darren specializes in financial planning for attorneys and law firm owners nationwide, providing guidance in business planning, cash flow management, tax strategy, long-term financial planning, and investment management. As a fiduciary and fee-only advisor, he focuses exclusively on the unique needs of legal professionals, drawing from his own experience as a small business owner. His office is located in Cincinnati, Ohio, and he was born and raised in Toledo, Ohio.
Jim Koford

Jim Koford

Wurz Financial Service

James Koford, CFP®, RICP®, TPCP®, is the Lead Financial Planner at Wurz Financial Services, and is located near Tampa, Florida. He focuses on tax planning, retirement planning, and investment management, and taxes a planning-first approach that brings structure, clarity, and confidence to clients’ financial lives. James translates complex financial decisions into practical strategies that align investments, cash flow, tax planning, and long-term goals within a cohesive framework. Prior to his current role, he built a diverse career spanning financial planning, investment management, financial education, portfolio strategy, and long-term client relationship management.

Education & Credentials

James has been a CERTIFIED FINANCIAL PLANNER™ professional since 2014. He also holds the Retirement Income Certified Professional (RICP®) credential and is one of just a few hundred financial planners to hold the Tax Planning Certified Professional (TPCP®) designation. He earned both his Master of Business Administration and his Bachelor’s degree from the University of South Florida.

Recognition & Leadership

At Wurz Financial Services, James serves as Lead Financial Planner and is known for a thoughtful, disciplined planning process centered on clients’ values, behavior, and sound analysis. Earlier in his career, he contributed to the financial planning profession as an editor at Kitces.com, helping shape widely read industry content on best practices and advisor development.

Professional Involvement

James is affiliated with the CFP Board and is a member of the National Association of Personal Financial Advisors (NAPFA). He is committed to helping his clients achieve their financial goals.

Experience

James’s professional background includes direct advisory work with clients, portfolio strategy support, financial education, and long-term client relationship management. His experience spans translating complex planning issues into practical strategies that integrate investments, cash flow, tax considerations, and long-term goals. He works with clients navigating career transitions, retirement preparation, and broader financial life planning decisions.
Darren P. Wurz

Darren P. Wurz

Wurz Financial Services

Darren P. Wurz, MSFP, CFP®, CEPA®, is the Founder and CEO of Lawyer Millionaire Wealth Advisors, where he works exclusively with law firm owners on business planning, cash flow management, tax strategy, long-term personal financial planning, and investment management. A fiduciary and fee-only advisor, Darren specializes in the unique financial planning needs of attorneys and law firm owners across the country, drawing on his experience as a small business owner to better serve solo practitioners and small firms. He is the author of The Lawyer Millionaire®: The Complete Guide for Attorneys on Maximizing Wealth, Minimizing Taxes, and Retiring with Confidence, published by the American Bar Association, and the host of The Lawyer Millionaire® Podcast. Darren holds a Master of Science in Financial Planning from Golden Gate University and is both a Certified Financial Planner™ professional and a Certified Exit Planning Advisor®. His mission is to help attorneys achieve financial independence as they define it.

Education & Credentials

Darren P. Wurz holds a Master of Science in Financial Planning from Golden Gate University. He is a Certified Financial Planner™ (CFP®) professional and a Certified Exit Planning Advisor® (CEPA®), credentials that reflect his formal training and specialization in comprehensive financial and exit planning strategies.

Recognition & Leadership

Darren is the Founder and CEO of Lawyer Millionaire Wealth Advisors, a firm dedicated exclusively to serving law firm owners. He is the author of The Lawyer Millionaire®: The Complete Guide for Attorneys on Maximizing Wealth, Minimizing Taxes, and Retiring with Confidence, published by the American Bar Association, and he serves as host of The Lawyer Millionaire® Podcast.

Professional Involvement

Darren is an active member of the American Bar Association and the Financial Planning Association. He is also involved locally as a member of the Cincinnati Bar Association, the Northern Kentucky Bar Association, and the Covington Business Council.

Experience

Darren specializes in financial planning for attorneys and law firm owners nationwide, providing guidance in business planning, cash flow management, tax strategy, long-term financial planning, and investment management. As a fiduciary and fee-only advisor, he focuses exclusively on the unique needs of legal professionals, drawing from his own experience as a small business owner. His office is located in Cincinnati, Ohio, and he was born and raised in Toledo, Ohio.
Jim Koford

Jim Koford

Wurz Financial Service

James Koford, CFP®, RICP®, TPCP®, is the Lead Financial Planner at Wurz Financial Services, and is located near Tampa, Florida. He focuses on tax planning, retirement planning, and investment management, and taxes a planning-first approach that brings structure, clarity, and confidence to clients’ financial lives. James translates complex financial decisions into practical strategies that align investments, cash flow, tax planning, and long-term goals within a cohesive framework. Prior to his current role, he built a diverse career spanning financial planning, investment management, financial education, portfolio strategy, and long-term client relationship management.

Education & Credentials

James has been a CERTIFIED FINANCIAL PLANNER™ professional since 2014. He also holds the Retirement Income Certified Professional (RICP®) credential and is one of just a few hundred financial planners to hold the Tax Planning Certified Professional (TPCP®) designation. He earned both his Master of Business Administration and his Bachelor’s degree from the University of South Florida.

Recognition & Leadership

At Wurz Financial Services, James serves as Lead Financial Planner and is known for a thoughtful, disciplined planning process centered on clients’ values, behavior, and sound analysis. Earlier in his career, he contributed to the financial planning profession as an editor at Kitces.com, helping shape widely read industry content on best practices and advisor development.

Professional Involvement

James is affiliated with the CFP Board and is a member of the National Association of Personal Financial Advisors (NAPFA). He is committed to helping his clients achieve their financial goals.

Experience

James’s professional background includes direct advisory work with clients, portfolio strategy support, financial education, and long-term client relationship management. His experience spans translating complex planning issues into practical strategies that integrate investments, cash flow, tax considerations, and long-term goals. He works with clients navigating career transitions, retirement preparation, and broader financial life planning decisions.

Credits by state

AK2.0
AL2.0
AR2.0
AZ2.0
CA2.0
CO2.0
CT2.0
DC
DE2.0
FL2.5
GA2.0
HI2.0
IA2.0
ID2.0
IL2.0
IN2.0
KS2.0
KY2.0
LA2.0
MA2.0
MD2.0
ME2.0
MI2.0
MN2.0
MO2.4
MS2.0
MT2.0
NC2.0
ND2.0
NE2.0
NH120.0
NJ2.0
NM2.0
NV2.0
NY2.0
OH2.0
OK2.5
OR2.0
PA2.0
RI2.5
SC2.0
SD2.0
TN2.0
TX2.0
UT2.0
VA2.0
VT2.0
WA2.0
WI2.0
WV2.4
WY2.0

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1000+

Live stream programs

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Access to live webinars & recordings

70,000+

Trusted by Legal Professionals

1000+

Live stream programs

24/7

Access to live webinars & recordings

10,000+

Trusted by Legal Professionals

1000+

Live stream programs

24/7

Access to live webinars & recordings

70,000+

Trusted by Legal Professionals

MCLE Credits

Alabama
Approved
Alaska
Approved
Arizona
Approved
Arkansas
Approved
California
Approved
Colorado
Pending
Connecticut
Approved
Delaware
Pending
District of Columbia
No Required
Florida
Approved
Georgia
Approved
Hawaii
Approved
Idaho
Pending
Illinois
Approved
Indiana
Approved
Iowa
Pending
Kansas
Approved
Kentucky
Pending
Louisiana
Pending
Maine
Pending
Maryland
No Required
Massachusetts
No Required
Michigan
No Required
Minnesota
Approved
Mississippi
Pending
Missouri
Approved
Montana
Approved
Nebraska
Pending
Nevada
Approved
New Hampshire
Approved
New Jersey
Approved
New Mexico
Approved
New York
Approved
North Carolina
Pending
North Dakota
Approved
Ohio
Approved
Oklahoma
Pending
Oregon
Pending
Pennsylvania
Approved
Rhode Island
Pending
South Carolina
Pending
South Dakota
No Required
Tennessee
Approved
Texas
Approved
Utah
Approved
Vermont
Approved
Virginia
Not Eligible
Washington
Approved
West Virginia
Pending
Wisconsin
Approved
Wyoming
Pending

Alabama

Requirements

The Alabama State Bar MCLE Commission requires attorneys to complete 12 credits, including 1 ethics, by December 31 of each year. All credits must be reported by February 15 of the following year. A maximum of 12 credits, including 1 ethics credit, may be carried over for 1 year only.  

Formats

  • Attorneys can earn unlimited “live” credit through live seminars, live webcasts, and co-sponsored locations with MyLAWCLE-Alabama approved programs
  • Attorneys are limited to 6 credits per compliance period of “online” programs through MyLAwCLE On-Demand programs