Introduction to Fiduciary Risk Management and Compliance

$135.00

SKU: 11091 Category: Tag:

Description

Fiduciary risk management and compliance requires due diligence and ongoing monitoring throughout the life of the relationship. This course provides a foundation in the regulations, bank policies and procedures and relationship management responsibilities that impact fiduciary risk management and compliance.;
What You’ll Learn
After completing this course, students will be able to:

  • Describe the difference between risk management and compliance
  • Explain the effects of market, operational and reputational risks on fiduciaries
  • Describe the federal regulations that provide guiding principles for fiduciaries
  • Identify the regulatory agencies responsible for oversight of fiduciary risk management and compliance
  • Describe the three lines of defense in fiduciary risk management and compliance
  • Identify the responsibilities at each stage of the fiduciary risk management and compliance lifecycle
  • Additional information

    Audience

    Client-facing relationship managers (fiduciary advisors, portfolio managers, bankers, planners) who want to raise their client engagement acumen.

    Length

    Approximately 25 minutes

    Credits

    0.50 CTFA, CCTS

    Member Price

    135.00

    Non-Member Price

    185.00

    Course Number

    ABA

    Location

    Online Self-Paced

    Vendor

    ABA

    Course Code

    ABA

    Prerequisites

    None

    Day

    Online

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