Compliance for Beginners
Getting started in compliance can be a daunting endeavor. Where to even start? What are the laws, regulations, and guidance that applies to the world of banking? Where can I find all this information to better help me do my job?
That’s the point of this webinar — define the “universe” of banking law and help new compliance professionals — or even those looking to up their knowledge and get helpful information — so that you can succeed at your job. We’ll provide many tips and tricks, including where to find all this information, as well as provide a primer on the banking regulatory world. Who are the players? Who regulates who, and what are exams all about?
We’ll address all these issues and more.
What You’ll Learn
- The banking industry regulatory structure – who regulates who
- Where are all these laws and regulations that impact the industry?
- How do these laws and regulations (and guidance) become effective?
- Monitoring the Federal Register and regulatory websites
- What is authoritative and what is not?
- Finding all this information – utilizing the online world to follow along (“change management”)
- The various areas of compliance: deposits/operations, lending, privacy, AML/BSA, and others
- What is the examination process all about? How best to succeed
- The basics of a Compliance Management System (CMS) – the keys to be credible
- Helpful sites and resources to have all you need
Who Should Attend
This interactive session will benefit anyone new to the area of retail banking compliance, whether in operations, lending, AML/BSA, or anywhere else. As well, this information will benefit professionals looking to fill in a few gaps, gain a more complete understanding of the banking regulatory structure, and anyone else looking for some good tips and tricks to ensure you have all the information you need.
Presenter Bio
Carl Pry is a Certified Regulatory Compliance Manager (CRCM) and Certified Risk Professional (CRP) who is a Managing Director for Treliant Risk Advisors in Washington, D.C. Through his working career, as well as through his experience as a banking attorney and officer, he has provided a variety of regulatory compliance and financial performance services to financial institutions and other clients throughout the country. He has written extensively regarding consumer and commercial compliance, tax, audit, and financial institution legal issues, and is a frequent contributor to and currently serves on the Editorial Advisory Board for the ABA Bank Compliance magazine. He has spoken at scores of banking, compliance, and state bar associations, and has conducted training sessions for financial institutions across the country.
Registration Options
Live Access, 30 Days OnDemand Playback, Presenter Materials and Handouts $279
- Available Upgrades:
- 12 Months OnDemand Playback + $110
- 12 Months OnDemand Playback + CD + $140
- Additional Live Access + $85 per person