Red Flags of Money Laundering and How to Mitigate Risk Against the Crime of Financial Facilitation of Criminal Activity
Mark Malinowski
60 Min
Product Id: 703742
Criminals and criminal enterprises constantly manipulate the banking system to move their illegal proceeds through financial institutions. Their methods and trends are always changing, so investigative personnel, accountants, auditors, and FIU personnel need to be aware of these activities. This course will instruct attendees on how to examine each transaction to determine the method, the reason, and potential destination of the funds to protect financial institutions during personal and business transactions.
Filing UCC Financing Statements: Getting it Right!
Jeffery Johnson
90 Min
Product Id: 703731
This webinar will offer an overview of the revised Article 9 and will discuss the most relevant factors to attach and perfect the most common forms of personal property. It will offer practical tips and guidance on preparing UCC financing statement forms. The course will also introduce the amendments to the revised Article 9 which have been approved by the Uniform Law Commission.
Fraud 101 for Compliance Professionals
Richard Cascarino
90 Min
Product Id: 703687
This course will highlight best practices for mitigating the risk of fraud penalties. It will include discussions on creating an effective fraud prevention program, fraud reporting and whistleblowing, planned investigation processes to deter fraud, and identifying causes for anti-fraud program failure.
FINRA New Consolidated Rules Governing Supervision, Effective December 1, 2014: How to Apply and Comply
Donna Sardanopoli
90 Min
Product Id: 703680
This webinar will detail the provisions of FINRA Regulatory Notice 14-10, which comes into effect as of 1st December, 2014. It will address how these new Consolidated Supervision Rules will replace existing NASD Rules 3010 and 3012. Attendees will also learn applicable rules and regulations for content requirements.
Internal Controls Practices for Accounts Payable: Design to Assess and Control Risk
Denise Cicchella
60 Min
Product Id: 703638
This course will instruct attendees on exercising accounts payable controls needed to enhance control environment and mitigate opportunities for fraud. The instructor, a certified internal auditor and certified fraud professional, will highlight the risks associated with all key activities of the accounts payable function and detail methods to ensure compliance.
Best Practices to Combat Anti Money Laundering Risk
Laura H Goldzung
90 Min
Product Id: 703062
This webinar highlights the techniques and best practices to Combat AML Risk. AML compliance programs are prescribed to be risk-based but do not necessarily require a formal risk assessment. This session will explore risk assessment as the foundation for implementing sound AML compliance programs.
Credit Card Fraud Prevention and Detection
Brent Meyers
60 Min
Product Id: 702821
This credit card fraud detection and prevention training will highlight the different ways an organization can manage a credit card program to detect fraud in a timely manner and in most instances even prevent fraud from occurring.
Leadership & BoD Obligations Under AML, BSA & OFAC
Michelle Martin
60 Min
Product Id: 703613
This webinar will highlight the duties and financial risk of board of directors, business owners and upper management under Anti-Money Laundering (AML), Bank Secrecy Act (BSA), and Office of Foreign Assets Control (OFAC) regulations.
Writing an Effective Credit Memo
David Sawyer
90 Min
Product Id: 703605
This webinar will focus on strengthening participants’ understanding of credit analysis. It will help participants interpret financial trends and financial ratios, and write succinct and focused credit memoranda.
The JOBS Act - the Regulation D Offering Reborn
Warren R Markowitz
60 Min
Product Id: 703589
This webinar will focus on the comparison between the old and new Reg D Rule 506 Offering and will highlight the importance of compliance in this new arena. It will also discuss the roles and responsibilities of counsel and company management.
Red Flags of Internal Fraud, Asset Misappropriation, and Corruption
Sinai Megibow
60 Min
Product Id: 703578
This webinar will detail the variety of internal economic threats such as fraud, asset misappropriation, and corruption faced by businesses and examine the different methods and schemes by which dishonest employees target their employers. We will discuss how to identify red flags of those threats and preventive measures that companies can take in order to reduce the likelihood of being victimized.
Teller Compliance Training: Reg CC, CTR and UCC 3 and 4
Kara Lamphere
60 Min
Product Id: 703523
This webinar will provide an overview of the Bank Secrecy Act (BSA) and Regulation CC. It will explain how and when to place holds on deposits. Attendees will understand red flags concerning money laundering and how to complete a currency transaction report (CTR).
Implementing a Whistle-Blower Program - Detecting and Preventing Fraud at Workplace
Richard Cascarino
90 Min
Product Id: 702725
This training on effective whistle-blower program implementation will discuss its importance and issues and provide tips on how to choose a reporting mechanism to detect and prevent fraud/misconduct or unethical workplace behavior both in the public and the private sectors.
Complying with and Applying Regulator's Rules and Guidance as it Relates to Social Media and Personal Electronic Devices (Financial Services)
Donna Sardanopoli
90 Min
Product Id: 703502
This webinar will discuss FINRA Regulatory Notice 10-06, 11-39 and SEC Social Media Guidance. Attendees will learn how to ensure compliance with all rules, regulations and guidance as it relates to social media and electronic devices.
Review of Major Lending Regulations and Required Documentation
Roy Johnson
90 Min
Product Id: 703496
This webinar will provide an overview of major lending regulations and required documentation to ensure loans are in compliance with the law. It will discuss Regulation Z, Regulation B, Regulation X, Regulation O, Regulation U including Fair Debt Collection Practices Act and Flood Disaster Protection Act.
Fundamentals of SBA Lending: Documenting, Closing, and Funding the SBA Loan
Vincent DiCara
90 Min
Product Id: 703462
This webinar will explain the fundamentals of SBA lending and the two most used and popular SBA’s programs: the SBA 504 Program and the SBA 7a Program. Attendees will learn how to document SBA loans, as well as closing and funding SBA loans.
Foreign Corrupt Practices Act - Critical Issues and Best Practices
Andrea Ewart
90 Min
Product Id: 703167
This training on the Foreign Corrupt Practices Act will focus on the anti-bribery and accounting provisions of the FCPA and will explain the activities and conducts that are prohibited by the FCPA. Learn the best practices and strategies for avoiding criminal and administrative penalties for violating its provisions.
Money Service Businesses (MSB): High Risk Account Type
Rosanna Jacobsen
60 Min
Product Id: 703408
This webinar will highlight the complex efforts in identifying and monitoring of Money Service Businesses (MSB). It will discuss MSB regulatory requirements, documentations, and scenarios that provide guidance on this high risk account type requiring extended due diligence.
Customer Due Diligence and Enhanced Due Diligence
Burke Files
90 Min
Product Id: 703403
This webinar will explain the process of customer due diligence and enhanced due diligence. It will cover customer onboarding, sources of funds and wealth, customer questionnaires including financial institution’s core competencies.
How to Prepare and Implement a Fraud Response Plan
Peter Goldmann
90 Min
Product Id: 703284
This fraud investigation training will teach attendees best practices for preparing and implementing fraud response plan. Learn how to conduct E-Discovery and forensic data analytics.