Education Seminar

2015 Directors Certification Update Materials
Program Materials For Livestream & Recorded Webcast Participants

Thank you for supporting CBA’s efforts to provide educational programming for Bank Directors. Below you will find a copy of the program’s agenda from 2015 and to the right are the 10 files that accompany this program. 

If you have any questions, please contact Corbett Cutts or Glenn Younger (contact information at the bottom of the page)


8:00 a.m. – Breakfast and Registration Opens

9:00 am – Dodd-Frank Act:  Five Years Later

  • New Regulations
  • Capital Rules – Current Issues

FDIC Insurance Premium Proposal

Corporate Governance:  Developing Standards

10:30 a.m. – Networking Break

10:45 a.m. – Bank Investment and Liquidity Issues

Consumer Financial Protection Bureau Developments

TILA-RESPA Integrated Disclosure Requirements

11:45 a.m. – Lunch Provided

12:45 p.m. – Current Regulatory Compliance Developments

  • Bank Secrecy Act
  • Unfair, Deceptive and Abusive Acts and Practices
  • Fair Lending Update
  • Vendor Management
  • Community Reinvestment Act

Cybersecurity Issues

Mergers and Acquisition Trends

Bank Examination and Enforcement Trends

Top Risk Issues for 2015

3:00 p.m. – Adjourn


Lead by Mark E. Aldrich, Esq. principal of Aldrich & Bonnefin, PLC and founder of the Bankers’ Compliance Group.


Dan Doyle
Chairman, Board of Directors
Central Valley Community Bank

Thomas H. Shaffer
Director, Former President, 1867 Western Financial Corporation
Former Executive Vice President/Chief Operating Officer, Bank of Stockton