SR Letter 11-7 - Supervisory Guidance on Model Risk Management
Mario Mosse
90 Min
Product Id: 703995
This training program will detail why SR Letter 11-7 has become the gold standard for model risk management, with its principle being adopted not only by banks but also virtually all U.S. financial institutions.
Effective Vendor Risk Management
Mario Mosse
90 Min
Product Id: 705193
Vendor risk management is an important component of a financial institution’s operational risk management program. This training program will examine how a sound vendor risk management program, including careful planning, due diligence and selection, and close oversight and monitoring during the life of the contract, is necessary to reduce the risks posed by the outsourcing of critical functions.
Stress-Testing in Financial Institutions: Selecting Appropriate Scenarios
Fred Vacelet
60 Min
Product Id: 705249
This webinar training on stress testing in financial institutions will depict scenarios, pitfalls to be avoided, and discuss how the choice of the right scenarios can provide good insight into strategic management of a financial institution.
Is Your Compliance Program Due for an Update?
Jim Kandler
60 Min
Product Id: 705085
This training program will highlight common issues that occur over time with material compliance programs, and demonstrate how to address them. This can result in a more effective and responsive material compliance effort for your company.
FATCA - Implications, Changes and How to Implement in a Foreign Financial Institution
Jason Simpson
60 Min
Product Id: 702989
This training on Foreign Account Tax Compliance Act (FATCA ) will highlight the evolution of the Act and its current regulations. It will also provide attendees practical and effective methods for solid FATCA implementation along with tools for identifying FATCA specific complexities in order to avoid enforcement actions.
The Board of Directors Role in Cybersecurity
Rayleen M Pirnie
60 Min
Product Id: 705117
This webinar will break down the Board’s role in effective cybersecurity oversight, the 12 questions a board member should be knowing to answer, key principles of oversight, tips and resources for board.
Compliance Department Restructuring with the New Regulatory Demands
Carlo Chalhoub
60 Min
Product Id: 705454
This webinar addresses recent changes in the compliance environment. It will also discuss the process for evaluating compliance department structure and the goals of compliance restructuring.
Implementing a Risk Management Program - Handbook, Risk Appetite and Risk Culture
Fred Vacelet
60 Min
Product Id: 705115
This training program will review a few ways to ensure that a financial institution reviews things from the start and consistently, in setting up a risk management framework that allows the bank to focus on its strategy rather than mere compliance.
How to Establish an Effective Internal Control System
David Sanders
90 Min
Product Id: 705133
This webinar will enhance participants’ knowledge by detailing the elements of internal controls. Internal controls are a key part of any organization's continued growth, performance and success. With fraud at an all-time high, a well-designed internal control structure will enhance operations by improving your department's over all security and effectiveness.
Using Lean to Streamline your Operations, Continuity Planning and Recovery
Michael C Redmond
60 Min
Product Id: 704826
This webinar training will discuss the lean principles and how to effectively implement them in your system to identify and reduce waste. The instructor will discuss how to apply lean to align business system and process with organisational goals so as to deliver rapid and measurable results.
Corporate Governance and the Board of Directors' Role
Adam Kerns
60 Min
Product Id: 705067
This webinar will offer a comprehensive, in-depth review of the state laws affecting the corporate governance standards applicable to insurance companies and the board of directors’ role in those standards.
Ethics in the Financial Services Industry
Lisa Marsden
60 Min
Product Id: 705053
The application and practice of ethical behavior is not just about complying with rules and regulations but about doing the right thing. This training program will discuss case studies and how to apply best practical ethical behavior and how to incorporate the ethical behavior into your firm’s overall business culture.
Reducing the Cost of RoHS and REACH Compliance Declarations
Jim Kandler
60 Min
Product Id: 705028
This training program will introduce different methods to improve existing declaration collection efforts. It will propose several practical methods a manufacturer might implement to make their material compliance efforts more effective.
The Department of Labor's Fiduciary the New Final Rule - Best Practices for Conducting a Due Diligence and Reviewing the Best Interest Contract Exemption
Lisa Marsden
60 Min
Product Id: 705021
This 60-minute training session will provide a detailed overview of the Department of Labor’s Final Fiduciary Rule including the history and on-going resistance to the rule. The session will delve into details on how the rule was established and who it will be applied to. The webinar instructor will discuss the summary of the details of the new final rule and what firms must do to comply.
How to Manage Reputational Risk
Mario Mosse
90 Min
Product Id: 705012
Reputation risk is the risk of loss resulting from damages to a firm's reputation, in lost revenue; increased operating, capital or regulatory costs; or destruction of shareholder value, due to an adverse or potentially criminal event even if the company is not found guilty. This training program will explore the hidden danger behind reputational risk that can pose a threat to the survival of the biggest and best-run companies, often wiping out millions or billions of dollars in market capitalization or future revenues and occasionally resulting in a change at the uppermost levels of management.
The Overall Annual Compliance Review - Latest Advisers Act
Lisa Marsden
60 Min
Product Id: 705016
This webinar will focus on compliance requirements to prevent violations of the Advisers Act. The training program will also discuss how to design your firm’s annual review and effectively manage the review process.
Planning and Managing Organizational Change: 10 Tips and Techniques
Christopher R DeVany
90 Min
Product Id: 704980
This training program will analyze the gaps that need to be addressed while implementing organizational changes. It will help attendees assess major issues involved in organizational readiness, help overcome intellectual challenges, help create effective communication plans, ensure all systems support, and finally, assess change management.
Preparing a Financial Industry Compliance Manual and Code of Ethics
Lisa Marsden
60 Min
Product Id: 704962
This training program will detail developing a compliance manual and a code of ethics for the financial industry, with the intent of clarifying the requirements of the Advisers Act. The instructor will also guide attendees on testing the manual, effectively managing it, and keeping it constantly updated.
Conflict of Interest in the Business Environment: Address Workplace Ethics
John E Grimes
90 Min
Product Id: 704936
This webinar will help in identifying the existence of a conflict of interest. Understand the levels at which potential conflicts can exist, and the various ways in which a conflict can harm an organization. The instructor will explain the correlation between a conflict of interest and corruption, including bribery, kickbacks, and illegal or unauthorized gratuities and discuss proactive preventive and detection measures to combat this fraud hazard.
How to Apply ISO 27001 Principles to Enterprise Risk Management in 2017
Michael C Redmond
60 Min
Product Id: 704828
This webinar training will help you implement ISO standards in your Enterprise risk management (ERM) system and understand the benefits. This session will enable on how to integrate ISO 27001 in your organization as the main structure for information security management.







