CPE

Banking Regulations: Compliance Requirements - Part 1

schedule 2h 9m signal_cellular_alt All Levels category Product Liability verified 21 credits available

About This Course

This on-demand CPE course offers accessible yet thorough coverage of banking regulations: compliance requirements - part 1.

Participants will gain a deep understanding of the fundamental concepts, current best practices, and emerging trends in this area. The program addresses real-world challenges practitioners face and provides concrete strategies for handling common situations effectively.

Specifically designed for product liability professionals, this course covers both foundational principles and advanced applications. Through clear explanations and practical examples, you will develop the skills needed to confidently navigate complex issues and deliver superior results for your clients or organization.

Key topics include regulatory requirements, compliance considerations, strategic decision-making, and risk management. Whether you are new to this area or looking to update your knowledge, this program provides the insights and tools necessary for success in today's evolving professional landscape.

Presented By

JR

James R. Wilson open_in_new

Partner • Skadden, Arps, Slate, Meagher & Flom LLP

Mr. Wilson represents clients in complex commercial litigation, including securities fraud and fiduciary duty claims.

Credits & Accreditations

Jurisdiction Credit Type Credits
Arkansas General 1.5
Florida Diversity 3.5
Georgia General 1.0
Hawaii General 1.0
Illinois General 3.0
Indiana General 2.5
Kentucky General 3.0
Maryland General 2.0
Massachusetts Ethics 2.0
Michigan General 3.0
Minnesota Ethics 2.5
New Hampshire Ethics 2.5
New York General 3.0
North Dakota General 2.0
Pennsylvania Diversity 2.0
Rhode Island General 2.0
South Carolina General 3.0
Virginia General 3.0
Washington General 2.5
West Virginia General 3.5
Wisconsin General 1.0
$235.00