Events

Compliance Webinar Series – Session #3

In today’s landscape, we know that many community banks and credit unions are faced with the difficult task of offering a competitive array of products and services, while also maintaining the right level of compliance performance to meet regulatory and stakeholder expectations.

Since our inception, PKM’s focus has been on financial institutions, a feature that has instilled in us a crystal clear understanding of the wide array of challenges and opportunities affecting your business. From our experience, we realize the anxiety levels surrounding compliance are staggering; however, it is important that your institution establishes a culture of education and understanding to help ensure you make the most of the compliance process and perhaps even gain a competitive advantage. Those institutions that have well-defined risk management and compliance processes in place and appropriately involve all levels of the organization will not only fair better on the regulatory compliance front, but will make more sound decisions on the right mix of products and services to help guide their growth.

During these informational webinars, we will cover the latest regulatory changes, concentrating on the compliance matters that will directly impact your financial institution, including:

  • Current Hot topics
  • Upcoming Regulations
  • Approaching Deadlines
  • Examiner Guidance
  • Best Practices
  • Q&A/FAQs
  • And more!

Experts leading this course have over 40 years of combined industry experience working both as consultants and former regulators. So, if you don’t have solid compliance practices in place, or are just looking for a way to stay abreast of industry changes, join us as we walk you through the latest regulations and best practices for compliance management.

Event Date11/01/2016

Event Time2:00 PM - 3:30 PM

Event LocationOnline

Who Should Attend

CEOs, CFOs, COO's, Compliance Officers and Board Members

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