Fiduciary Compliance

$135.00

SKU: 11189 Category: Tag:

Description

Reviews the regulator’s role to routinely examine for the institution’s safety and soundness, the bank compliance department’s development of policies and procedures that evolve and change, and the advisor’s role in fiduciary compliance with key regulations that connect with client transactions.

Additional information

Topic

Compliance Training, Wealth Management Training

Length

20 minutes

Member Price

135

Non-Member Price

185

Location

Online Self-Paced

Course Code

ABA

Vendor

ABA

Sub Topics

Compliance, Trust & Investments, Wealth Management

Book Handling Fee

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