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Strengthen Board Oversight of Risk, Internal Audit, Financial Reporting, Cybersecurity, Fraud, and Regulatory Compliance

 

Bank Audit Committees operate in an environment of heightened regulatory scrutiny, rapidly evolving technology, sophisticated fraud schemes, liquidity pressures, cybersecurity threats, and increasing expectations for effective Board governance.

 

The Best Practices for Bank Audit Committees CPE training event provides Audit Committee members, bank directors, Internal Audit leaders, risk professionals, and financial institution executives with practical guidance for fulfilling their oversight responsibilities.

 

This four-CPE-credit program examines how an effective Bank Audit Committee should oversee financial reporting, Internal Audit, External Audit, enterprise risk management, internal controls, regulatory examinations, fraud risk, cybersecurity, artificial intelligence, BSA/AML compliance, third-party risk, and management corrective actions.

 

The program emphasizes a fundamental governance principle:

 

The Board governs. Management manages the business and owns the risks. Internal Audit provides independent assurance. The Audit Committee provides focused and independent oversight.

 

The course is based on banking regulatory expectations, recognized governance frameworks, and practical experience working with executives, Boards of Directors, Internal Audit departments, and regulated financial institutions.

Best Practices for Bank Audit Committees

$280.00Price
Quantity
  • Offered every eight weeks on Tuesdays at 10:00 a.m. to 2:30 p.m. Central Time in four CPE-Credit event.

    We can schedule private events on your timetable for two or more attendees.

    NASBA Program Disclosure

    Program Level of Understanding: Basic

    Prerequisites: None

    Advance Preparation: None

    Delivery Format: Seminar (Group Internet Based)

    NASBA Field(s) of Study: Auditing, Information Technology

    CPE Credits: 4, based on 50 minutes of instruction per hour

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Contact Us

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Corporate Compliance Seminars is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.

In accordance with the standards of the National Registry of CPE Sponsors, CPE credits are granted based on a 50-minute hour.

National Registry of CPE Sponsors ID #108983

Complaints may also be forwarded to the company principals, David S. Marshall (708-205-2366davem@cseminars.com) and/ or John Blackshire (479-200-4373johnb@cseminars.com)

 

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