Current Issues in Securities Regulation: Part 2

SKU: FIN6900

CLE Courses Available on DVDs, Audio CDs, USB Stick, Online & iOS/Android App and with Live Webinars!

Course Media Options

About This Course

The issue of regulation, risk, compliance and enforcement impact every aspect of business. This CLE course focuses specifically on those related to the newly restructured Enforcement department, which deals with examination and surveillance groups across FINRA. The course will explain the key principles that guide outcomes. Implementing effective risk-based inspection programs and how and what tools to use to prepare for such inspections, as well as monitoring suspicious activity, identifying AML monitoring procedures and keeping pace with regulatory expectations will be discussed. Monitoring outside business activities and the supervision of private securities transactions with an eye toward FINRA’s proposed rules related to such entities and other regulatory issues will all be reviewed.

Spend less and get more

Get the courses that you need and the forms completed in days — not weeks or months.

Feature Ribbon Icon
CLE Manager on a headset

Dedicated CLE Manager

Quality help from a responsive CLE expert dedicated to assisting you.

Feature Ribbon Icon
A wall of media options

Riveting Content & an Exceptional Library

Experience outstanding presenters.

Feature Ribbon Icon
Customer viewing progress on a computer

Free Customized CLE Tracker

Keep crystal clear records of your courses and credits.

Feature Ribbon Icon
All of our media formats

Online, Audio CD, DVD, iOS/Android App, USB Stick

Learn at your pace, in the format that you prefer.

Want Different Options?

For a custom suite of courses, our custom CLE option satisfies your CLE cycle requirements in one easy step.

Customize OptionsRight ArrowCustomize Options