Compliance Class: Winter 2020 Quarterly Compliance Review
Regulatory activity takes place on almost a weekly basis. This means that financial institutions must spend great efforts keeping up with these changes, or they risk something falling through the cracks. While financial institutions can utilize internal resources to monitor regulatory changes, this isn’t usually cost effective when you add up the amount of time necessary to monitor - and understand - the change taking place, let alone determine if the changes apply to the organization. For that reason, we have created a Quarterly Compliance Update program that is designed to provide a quick and easy way to stay informed of the regulatory compliance activity that took place in the prior quarter.
Released in late January of 2020, the Winter 2020 Quarterly Compliance Update is designed to provide compliance professionals with the “need to know” information about what compliance activity took place during the months of October, November, & December of 2019 (see below for an outline of course topics).
While specifically designed for Compliance Officers who have the responsibility of keeping up with new rules and regulation changes, this program would be beneficial for anyone with compliance management responsibilities who needs to stay current with changes in the compliance world. For example, this program could be shared with compliance assistants, management, or a Compliance Council/Committee to keep them apprised of current activities and enhancing the organization’s overall compliance management system. In addition, auditors who have the responsibility of reviewing compliance areas would also greatly benefit from this program.
Class Pricing
PRICE: $329
Note: If you are considering purchasing all four quarterly classes in 2020, you may benefit from one of our new premium memberships as they include the entire Quarterly Compliance Update program at a discounted (bundled) rate. Learn more at www.compliancecohort.com/premium-membership.