Recorded: April 22, 2014
Length: 60 Minutes
Every meeting in which a community bank board of directors is informed of a compliance violation results in at least one outside director questioning whether or not they were really expected to know about the underlying regulation. This seminar will focus on approaches and structures that can be utilized in clarifying to your directors what is expected of them so that they can be prepared to meet their obligations and play a useful role in the institution's compliance function.
Speaker: Cliston V. "Doc" Bodine, III
Mr. Bodine is the Managing Director of the Memphis based law firm of Gerrish McCreary Smith, PC, Attorneys, and Gerrish McCreary Smith, Consultants. Mr. Bodine's legal and consulting practice places special emphasis on regulatory enforcement actions, formal and informal, regulatory examination appeals, regulatory applications, general regulatory matters, strategic planning, community bank mergers and acquisitions, and much more.
1 CPE Credit
Program Level: Basic-Intermediate