If you
are unable to attend the 33rd Annual Federal Compliance School being held
April 29 - May 2, 2019 in Hartford, Connecticut, you can still learn from
the nation's top compliance experts via Live Streaming Video and OnDemand
Video Playback! You’ll enjoy the convenience of viewing the school from
your home or office, with video of the instructor and PowerPoint all on one
screen! Your order also includes unlimited access to the OnDemand Playback
for six months – for you and your co-workers! A complete set of the student
manuals is included as a download in PDF format.
Live
Stream/OnDemand Compliance School Schedule and Pricing:
ENTIRE
SCHOOL – November
April 29 - May 2, 2019 – $1,895
DEPOSIT
OPERATIONS MODULE ONLY – April 29 & 30, 2019 – $995
CREDIT
MODULE ONLY – May 1 & 2, 2019 – $1,195
MANAGEMENT
MODULE ONLY – April 30, 2019 – $695
VIEW THE
AGENDA
S AMPLE VIDEO FROM
A RECENT CFT
COMPLIANCE SCHOOL
School
Faculty:
PATTI
JOYNER BLENDEN founded Financial Solutions in 1990 to provide
community financial institutions with effective solutions for the ever
increasing need for cost-effective regulatory risk management. The company
provides compliance reviews, in-house training, compliance policy and
procedure development and other special projects for community bank
clients. One of her favorite assignments is to participate in defending
bank clients through litigation support. Patti’s ability to transform
complex requirements into simple, practical solutions is bound by a deep
conviction that “excellence is not optional,” easily translating into
effective answers for community bankers. Patti firmly believes that being a
community banker is all about the size of your heart, not your bank’s
assets! She has a thorough understanding of the current regulatory
environment and is able to integrate, streamline and automate competing
priorities without compromising compliance, results, or your sanity. Patti
loves people and banking – put the two together and its inspiring!
KEITH
E. MONSON,
CRCM, Vice President of Application Compliance, Computer Services, Inc.,
Jefferson City, MO. Mr. Monson has over 20 years of banking experience and
frequently speaks on a variety of compliance related issues. Mr. Monson has
compliance experience with both large and small financial institutions and
has also provided compliance management assistance to banks as a compliance
consultant. Mr. Monson is a past Chairman of the CRCM Advisory Board and a
former member of the Certification Council for the Institute of Certified
Bankers. He is also a past Chairman of the Missouri Bankers Association's
Compliance Committee.
CARL
PRY
is a Certified Regulatory Compliance Manager (CRCM) and Certified Risk
Professional (CRP) who is a Managing Director for Treliant Risk Advisors in
Washington, DC. Through his working career, as well as through his
experience as a banking attorney and officer, he has provided a variety of
regulatory compliance and financial performance services to financial
institutions and other clients throughout the country. He has written
extensively regarding consumer and commercial compliance, tax, audit, and
financial institution legal issues, and is a frequent contributor to and
currently serves on the Editorial Advisory Board for the ABA Bank
Compliance magazine. He has spoken at scores of banking, compliance, and
state bar associations, and has conducted training sessions for financial
institutions across the country.
The
33rd Annual CFT Federal Compliance School has been approved for 35 CRCM
credits. Breakdown of credit: Op/Deposit Module-11.25 CRCM credits, Credit
Module-18 CRCM credits and Mgmt. Module-5.75 CRCM credits. This statement
should not be viewed as an endorsement of this program or its sponsor.”
Certification holders must report these credits at aba.csod.com.
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