Keeping up with regulatory changes has become a daunting challenge for community banks and credit unions. The RegAdvisor Quarterly Briefing session helps ease the effort required to analyze and track all the recent changes. As we do each quarter, Continuity presents practical insights on what the quarter's regulatory changes mean to an institution. We address the workload you can expect and highlight critical implementation steps to ensure your compliance management system stays on track - despite what Washington sends your way!
During the complimentary RegAdvisor Briefing we will cover:
- An update on 2018 Q4’s final rules, proposed rules and other items across all agencies (FDIC, OCC, Fed, NCUA, CFPB, FinCEN and Other/Interagency)
- Outline regulation changes in the areas of CRA, Compliance, IT, Safety & Soundness, Trust and others
- The Banking Compliance Index which provides an assessment of what these changes will mean in terms of workload – even assigning an effort, time and cost ranking to each item to help institutions develop a practical plan of attack.
- Trends that will help determine what we should be ready for in the future
Who should Attend: CEOs, CFOs, COOs, Chief Compliance Officers, Chief Risk Officers, Compliance Officers and other regulatory and risk management professionals
Pam Perdue, EVP - Regulatory Operations, Continuity
Pam is a distinguished regulatory expert with over 20 years of experience in compliance. In her career, Pam has served as a chief compliance officer, an educator and consultant for regional and national organizations, and as a Senior Examiner with the Federal Reserve. Her extensive knowledge of compliance, both as a consultant and an examiner, has made her an essential component to the success of Continuity. She is an alumna of The Ohio State University and holds certifications from the American Institute of Banking and the Dearborn Financial Institute and has completed the rigorous Federal Reserve System Examiner Commissioning Program, equivalent to a banking M.B.A.
Donna Cameron, Director of Regulatory I/O, Continuity
Donna is a Certified Regulatory Compliance Manager (CRCM) and a Certified Community Bank Compliance Officer (CCBCO). She has spent more than 17 years in community banking, including lending compliance and as a Compliance Officer and BSA Officer. Her extensive knowledge of compliance has been brought to bear as a Senior Compliance Strategist for Continuity. She now holds the title of Director of Regulatory I/O in the company. She is an alumna of Champlain College.