Compliance Perspectives: A Monthly Update
Keeping up with changes and deadlines in the compliance area gets more complex every year.
Now, we can assist you with that task.
Carl Pry, a well known and highly respected compliance expert and recipient of the2015 ABA Distinguished Service Award will be presenting a monthly one-hour compliance update that will address new items to be aware of, deadlines and what’s on the horizon. In a simple language webinar format that you can view from your office, Carl will make sure you have the information you need to keep your financial institution in compliance.
- Monthly hot topics
- Current deadlines
- Upcoming regulations
- Examiner guidance
- Concise one hour format
- Unlimited participants
- One-low cost
- Archived recording
- New: Annual subscribers receive 25% off the Featured Compliance Webinar of the Month
For only $165 per month you receive the live session and a link to the archived recording. Save even more by purchasing a 12-month subscription! Watch the live session or access the recording for the next 30 days. Imagine what you can save in reduced compliance violations or unnecessary research time.
Anyone in the institution having compliance responsibilities – when you think about this, it could be just about anyone in the institution. This may include members of senior management, operations personnel, lending personnel, underwriters, customer service representatives, back-room personnel, and of course compliance officers, auditors, and attorneys, and anyone else in the institution that might benefit from this valuable information.
“The Compliance Perspectives webinar series is a great tool for staying up to date on regulatory changes and the resource links within the handout materials are very helpful for taking a more in depth look at those topics that are of particular importance to my institution.” -James S., Union State Bank
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, DC. 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.
Institute of Certified Bankers: Visit http://www.icbmembers.org/login.aspx for instructions regarding self-reporting. Estimated credits: 1 CE Credits
- 1 Month – $165
- 6 Month Subscription – $990
- 12 Month Subscription – $1695
- Subscribers to the Compliance Perspectives Series receive the first three locations at no additional charge ($50 per connection after those first three)
The term will commence on the START DATE of this agreement and continue for 6 or 12-months. This subscription will be renewable at the end of the current term for a successive 6 or 12-month term unless either party gives written notice of its intention not to renew 15 days before the expiration of the current term.We will notify you of any changes in the terms of the subscription at least 30 days prior to the notice period for renewal or termination.
Online: Click here.
Phone: Call Total Training Solutions at (800) 831-0678
Register online up to day of event. Earlier registration allows time to check your computer for an optimal experience.