BOD - Compliance Management
Course Description
This course navigates through compliance management measures, both present and not-too-distant past, as well as useful information to help ensure compliance with federal consumer protection laws and regulations relating to prudential regulatory expectations. This course also addresses the components that your compliance management system should encompass and how that directly relates to your responsibilities of oversight as a director. The Best-Practice Boardroom section of the course provides tips, questions, warnings, and action items to consider for your financial institution.
30 Minutes
Series: Board of Directors for Banks
Roles: Board of Directors, Compliance - Internal Audit
Course Format: Online Self-Paced
Package: Breakthrough, Expansion
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