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New Compliance Officer Training - 3 Part Series

This 3 part series is designed as an introduction to compliance, BSA, and auditing for New Compliance Officers.

Upcoming
October 9, 2024
October 15, 2024
October 22, 2024
Presented by Kristen Tatlock
6 CRCM Credits
$829.00 or 3 Tokens

Includes: Live Access, 30 Days OnDemand Playback, Presenter Materials and Handouts

  • Auditing
  • BSA
  • Compliance
  • Deposit Compliance
  • General Compliance
  • Lending Compliance
  • Risk Management/Legal
  • Bank Legal Counsel
  • Bank Secrecy Act Officer/BSA Specialist
  • Compliance Officer
  • Deposit Operations Manager/Specialist
  • Internal Auditor
  • Loan Operations Manager/Specialist
  • Marketing Officer/Business Development
  • Risk Manager
  • Training Manager
  • Trainer

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Series Details

New Compliance Officer Training Part 1 - Compliance 101

Keeping up with all the rules, regulations, and laws that affect financial institution operations can be daunting for the most seasoned compliance professional. For new compliance officers, it can be overwhelming. This session is designed to provide a new compliance officer with tools to help make the transition on their new role easier.

  • Overview of major compliance issues
  • The importance of risk assessments
  • Resources all compliance officers need to know about

New Compliance Officer Training Part 2 - BSA 101

Compliance with the Bank Secrecy Act continues to be a supervisory priority, so it’s important for new BSA compliance officers to have a good grasp of the requirements and, more importantly, where to get answers to questions that may arise. This session will provide new BSA compliance officers with information on the laws and rules, as well as guidance on resources that can help make their jobs easier.

  • Overview of Bank Secrecy Act and other anti-money laundering rules
  • Components of strong BSA programs
  • Using technology to help with BSA compliance
  • Resources all BSA compliance officers need to know about

New Compliance Officer Training Part 3 - Conducting Internal Compliance Reviews

A compliance audit/review is a comprehensive evaluation of a financial institution’s adherence to regulatory guidelines. Its purpose is to identify problems and weaknesses BEFORE they are detected by examiners, or even worse, customers’ attorneys. This webinar will provide an overview of the tools and resources available for conducting a compliance review as well as areas to review and questions to ask.

  • The importance and purpose of a compliance review
  • Compliance audit/review resources
  • Reviewing policies, procedures, and practices
  • Reporting the results of your review
  • Developing a compliance audit schedule

What You'll Learn

Each webinar in the series will cover specific topics relative to the subject matter.

Who Should Attend

This session is valuable for new compliance officers, chief compliance officers, compliance, legal, risk management staff, and CEOs.


Kristen Tatlock

Instructor Bio

Kristen Tatlock is a nationally recognized speaker and compliance consultant with over 35 years of expertise in financial institution compliance. She provides guidance to financial institutions on a wide range of compliance issues, including advertising regulations, Regulation E, social media compliance, Regulation Z, the Bank Secrecy Act, Fair Lending rules, and nearly every other regulatory and compliance concern.

Kristen holds national certifications in Compliance and the Bank Secrecy Act and frequently conducts compliance training programs for organizations at both the national and state levels.


Continuing Education Credit Information

New Compliance Officer Training - 3 Part Series has been approved for 6 CRCM credits. This statement is not an endorsement of this program or its sponsor. Credits are redeemable for both Live and OnDemand viewing. For questions on certificates, please email support@oncourselearning.com. Certification holders must report these credits at https://aba.csod.com.