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21.04.2017 | 21:01
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PR Newswire·Mehr Nachrichten von PR Newswire

DUBLIN, Apr. 21, 2017 /PRNewswire/ --

Research and Markets has announced the addition of the "Managing an Effective AML Compliance Program: 2-day In-Person Seminar" conference to their offering.

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Are the financial transactions within your organization subject to money laundering risk? Do you have a robust internal controls program that focuses on mitigating the greatest AML/Fraud risks? Are your employees aware of the red flags within all financial transaction business processes and know what to do if they find unusual or suspicious activity? Are your company and management are up to date on its compliance requirements and the potential impact of non-compliance?

Whether you need to get back-to-basics or you are a seasoned AML professional, join us as we explore the many facets of managing an effective AML compliance program: Join us as we focus on the following key elements:

- Regulatory frameworks surrounding anti-money laundering
- Objectives of an effective AML compliance program
- Risk assessing your institution
- Developing robust internal controls
- Training for appropriate personnel
- Expectations and duties of the appointed compliance officer
- Effective audit program to ensure adequacy of your AML compliance program

Learning Objective:

Key goals of this course are:

- To provide an understanding of money laundering and how it can impact an institution
- To review the importance of -tone at the top- and how to implement a compliance-friendly environment
- To learn about the critical internal controls and how these controls can protect your institution

The course will focus on the 4 pillars of an AML compliance program:

- Policies, procedures and internal controls
- Designation of a compliance officer
- Training for appropriate personnel
- Independent audit

Who Should Attend:

BSA/AML Officers, Compliance Officers, AML Analysts, Operations Managers, Remittance Analysts, Consultants, Internal Auditors, Accounting and Finance Directors, Internal Auditors, Legal Departments, Compliance Officers, and Risk Managers at Banks, Broker-Dealers, Residential Mortgage Lenders & Originators, Precious Gems Traders, Money Services Businesses and other nonbank financial institutions.

- Risk Management
- Legal
- Regulatory
- Compliance
- Audit

For more information about this conference visit http://www.researchandmarkets.com/research/cfwkl6/managing_an

Media Contact:

Research and Markets
Laura Wood, Senior Manager
press@researchandmarkets.com

For E.S.T Office Hours Call +1-917-300-0470
For U.S./CAN Toll Free Call +1-800-526-8630
For GMT Office Hours Call +353-1-416-8900

U.S. Fax: 646-607-1907
Fax (outside U.S.): +353-1-481-1716


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