Live Chat with a CLE Manager
Continuing Legal Education courses for Attorneys
Online CLE courses, cle courses, cle state bar courses
You are viewing courses for Washington. Select a Different State.
View WA Accreditation Info

Effective Practices for Working With Senior Investors: 2017 FINRA Annual Conference

SKU: FR5100
Law & Legal Proc.
1
Price$50
  • Online Access
  • Smartphone
  • iPad/iPod/Tablets
  • CDs/DVDs

Description

This CLE program provides guidance on identifying and responding to issues and concerns of clients who are or will soon be seniors. Statistics show that the population of persons aged 65 and older is growing at a dramatic pace. This population also controls a significant percentage of personal wealth in the U.S. These facts coupled with the fact that regulators are investigating more and more cases involving complaints made by seniors have led the industry to step up efforts to protect senior investors. Join FINRA staff and industry panelists as they cover initiatives to help combat elder financial exploitation and best practices for addressing diminished capacity concerns.

After attending this session, you will be able to:

  • Identify issues relevant to senior investors.
  • Understand some effective practices when handling calls from seniors with concerns or questions about their account.
  • Obtain insight into the issues that accompany a client with a diminished capacity and/or who is experiencing elder abuse.
  • Gain a general understanding of state mandatory reporting of elder abuse.
  • Learn the difference between dementia and Alzheimer's disease.
  • Protect your practice under FINRA regulations regarding diminished capacity and vulnerable clients.
  • Establish a plan for when a client is diagnosed.

Lecturer Bios

Yvette Q. Panetta

Yvette Q. Panetta is the Deputy Director in FINRA’s Florida District Office located in Boca Raton, Florida where she is primarily responsible for the Member Regulation Examination Program and FINRA’s Securities Helpline for seniors. Ms. Panetta responsibilities include managing the Sales Practice Examination Program, the Cause Examination Program, and the Surveillance Program. She is also actively involved in several initiatives related to current industry topics. Prior to joining FINRA, Ms. Panetta served as an examination manager with the U.S. Securities and Exchange Commission’s Office of Compliance Inspections and Examinations located in New York. Ms. Panetta received her undergraduate and graduate degrees from Baruch College, The City University of New York where she graduated with honors. Ms. Panetta also holds the title of Certified Public Accountant from the American Institute of Certified Public Accountants.

Christopher Majeski

Chris Majeski is Managing Director, Global Wealth and Investment Compliance Executive for Merrill Edge, Merrill Lynch Wealth Management, Wealth Management Banking, and Bank of America / Merrill Lynch, Pierce, Fenner & Smith. In this capacity, he oversees a team that is central to reinforcing a strong risk management culture and leading the overall compliance framework for each business unit. With more than 20 years experience, Mr. Majeski has served in a number of capacities in financial services across the globe. Prior to assuming his current role in 2010, he was based in Singapore as the regional compliance executive for the Pacific Rim Wealth Management and Corporate Banking – Treasury Services lines of business, and also provided overall country coverage for S.E. Asia. Prior to that, he was based in the U.S. as internal audit executive for ML’s U.S. Banks and Global Corporate Credit & Commitments. In London, he served as internal audit executive for Europe, Middle East, and Africa Wealth Management and ML’s International Banks. Prior to joining ML in 1999, he was with Deloitte&Touche and PriceWaterhouseCoopers covering financial services. He received his Bachelor of Science in Accounting from Rider University.

Mary Shea Tucker

Mary Shea Tucker is Manager of the Wells Fargo Advisors Elder Client Initiatives (ECI) Team, located in St. Louis, Missouri. The ECI Team, which includes paralegals, operations specialists and a Master of Social Work graduate, provides guidance and support to Financial Advisors and supervisors in cases where there are concerns about client incapacity and elder/vulnerable adult abuse. The ECI Team is also responsible for determining when to submit reports of suspected elder/vulnerable adult abuse to adult protective services agencies, securities commissioners and law enforcement in all 50 states and U.S. Territories. Ms. Tucker has been with Wells Fargo for 13 years. Prior to that, she lived in Salt Lake City, where she was senior associate general counsel for the University of Utah and then associate general counsel for the Salt Lake City 2002 Olympic Winter Games. Ms. Tucker is on the board of the National Committee for the Prevention of Elder Abuse and is on the Financial Exploitation Advisory Board for the National Adult Protective Services Association. She is admitted to practice law in New York, Utah and Missouri. She has a B.A. in English from Yale and a J.D. from the New York University School of Law.



States where Nacle.com Offers Online, Smartphones, Tablets, Audio CD & DVD CLE (Continuing Legal Education):
Alaska CLE | Arizona CLE | California MCLE | Colorado CLE | Connecticut CLE | Delaware CLE | Florida CLE | Georgia CLE | Hawaii CLE | Illinois MCLE | Indiana CLE | Kentucky CLE | Missouri CLE | Mississippi CLE | New Hampshire CLE | New Jersey CLE | New Mexico CLE | Nevada CLE | New York CLE | Ohio CLE | Oregon CLE | Pennsylvania CLE | Tennessee CLE | Texas CLE | Utah CLE | Virginia CLE | Virgin Islands CLE | Washington CLE | Wisconsin CLE | West Virginia CLE | Online CLE Courses | Live CLE Calendar | NY BTG CLE | Teach at the Academy | F.A.Q.
Hardship Policy | Terms And Conditions | Contact Us | Account Login | Unlimited CLE | Sitemap | Mobile Site
Copyright © 2000 - 2017 National Academy of Continuing Legal Education. All Rights Reserved.