The ICBA Compliance Institute is built to meet the needs of seasoned professionals seeking the latest regulatory education and industry best practices as well as newer compliance officers seeking to gain a clear understanding of the fundamental concepts of each regulation.
This high-quality program provides for a fast-paced learning environment that will lead to a detailed study of the relevant areas of regulatory compliance with a focus on the key concepts that spell success in the examination context.
Each regulation is approached in terms of the requirements, best practice internal controls, and audit objectives. Learning is reinforced with many sample disclosures, applicability charts, and illustrative quizzes and exercises.
The program will address current hot issues and areas of focus in regulatory compliance. Deep dives into the common challenges related to recent regulatory reform will be covered and the latest guidance and interpretations on all recent rule-making efforts will be discussed.
Past attendees have ranged from experienced bankers seeking to reinforce their knowledge base with current best practices, to newer bankers requiring introduction to all aspects of community bank regulations. Compliance auditors, examiners, and bank general counsel are common attendees.
This solid foundation allows the attendee to return to their bank and support their product and service offerings and remain competitive in their marketplace.
If you decide to enroll in the certification testing after you register for the class, please contact a Community Banker University representative at 800-422-7285.