2015 Regulatory & Risk Management Indicator: Results & Implications | Wolters Kluwer Financial Services
  • Insights

  • Indicator Findings: Strategies for Managing TRID, HMDA, Cybersecurity, & Other Risk, Compliance Concerns

    2015 Regulatory & Risk Management Indicator: Results & Implications

    Recorded Thursday, November 19, 2015

    Join us to hear key findings from the 2015 Regulatory & Risk Management Indicator survey—and the implications for U.S. banks and credit unions. Presenters will dive deeply into the Indicator results and the drivers behind increasing anxiety in the industry… and provide some guidance on helping navigate through an increasingly complex regulatory environment. Download the presentation PDF.

    The agenda will provide insights on the following:

    • Managing implementation of the new “Know Before You Owe” TRID mortgage lending rules
    • The rise in cyber-crime—and what banks and credit unions are doing to combat it
    • The Home Mortgage Disclosure Act and other issues generating escalated priority in 2016

     

    Wolters Kluwer Financial Services Presenters:

    Amy DowneyShannon BennettKris Stewart

       


       


       


       

    • Amy Downey, regulatory expert, Consumer Compliance
    • Shannon Bennett, senior director for Financial Crimes Control Strategy
    • Kris Stewart, principal regulatory consultant and director, Compliance Professional Services practice

     

     

     

     

     



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