Update: This event has already occurred. Please visit our Venable LLP YouTube channel to listen to and view the recorded webinar.
The rapid pace of regulatory change and expectations, coupled with oversight through supervisory exams and investigations, as well as enforcement actions, are forcing banks and financial services companies to evolve their compliance management systems. Whether it’s for CFPB examination preparedness or post-settlement consent order compliance, effective regulatory change management is critical to managing regulatory risk.
In this webinar, learn from Jonathan Pompan, Partner and co-chair of Venable LLP's CFPB Task Force and Christopher Sicuranza, Managing Director and U.S. Banking Lead for Navigant Consulting, about the interplay among regulatory changes, scrutiny through supervision and enforcement, and compliance management systems.
- How regulatory expectations have changed under the CFPB.
- Strategies for CFPB exam or investigation preparedness and post-consent order compliance.
- How to effectively perform regulatory change management.
Jonathan L. Pompan, Partner, co-chair CFPB Task Force, Venable LLP
Christopher P. Sicuranza, Managing Director Financial Services, Navigant Consulting, Inc.
CLE credit is available for this program.
To register for this program, please click here.