2025 Compliance Outlook: Regulator Expectations

January 16, 2025
Live Webinar
DateJan 16, 2025Duration90 minutes
08:00 AM PST09:00 AM MST
10:00 AM CST11:00 AM EST
    • Unlimited connections for your institution
    • Available on desktop, mobile & tablet
    • Take-away toolkit
    • Presenter’s contact info for questions
On-Demand Webinar
  • Unlimited & shareable access starting two business days after live stream
  • Available on desktop, mobile & tablet devices 24/7
  • Take-away toolkit
  • Ability to download webinar video
  • Presenter's contact info for questions
See Registration Options

The compliance landscape continues to evolve as regulators place an increasing emphasis on consumer protection and rotate their examination gaze on a regular basis.

Your management team needs to understand what lies ahead and how to best prepare. Join veteran compliance attorney David Reed as he provides updates on the current compliance landscape, reveals emerging risks, and provides invaluable insight on matters impacting the financial services industry.
 
AFTER THIS WEBINAR YOU’LL BE ABLE TO:
  • Understand the evolving compliance landscape
  • Anticipate the impact of the Supreme Court overturning of the “Shell Doctrine”
  • Appreciate key compliance examination trends
  • Identify top compliance violations and how to avoid them
  • Fine-tune your compliance management system
  • Employ useful compliance resources

WEBINAR DETAILS

The Consumer Financial Protection Bureau is the primary player in the consumer compliance arena, and it has survived several recent Supreme Court challenges to its scope and power. Going forward, Director Chopra has stated the CFPB will be “firing on all cylinders.” This should give every financial institution pause. Add a presidential election and the demise of the “Shell Doctrine,” and the warning signs are abundant. Clearly, there are storm clouds on the regulatory compliance front and every institution needs to stay on top of emerging compliance risks.

WHO SHOULD ATTEND?

This informative session is designed for executives, directors, lending managers, compliance staff, internal auditors, collections staff, and anyone interested in maximizing compliance efforts.

TAKE-AWAY TOOLKIT

  • Compliance risk assessment
  • Regulatory guidance
  • Compliance examination resources
  • Employee training log
  • Interactive quiz
  • PDF of slides and speaker’s contact info for follow-up questions
  • Attendance certificate provided to self-report CE credits

NOTE: All materials are subject to copyright. Transmission, retransmission, or republishing of any webinar to other institutions or those not employed by your institution is prohibited. Print materials may be copied for eligible participants only.

Presented By

David A. Reed, JDDavid A. Reed
Reed & Jolly, PLLC
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