Wyoming CLE - Finance and Banking Courses

This is a listing of Finance and Banking CLE Courses for Wyoming. Please make your selection below of Wyoming CLE courses. Click "Add To Cart" to purchase Individual CLE Courses. For more information about a particular CLE course, click on the "More Info" link. Click the "Preview" button to view a short preview of the course.

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

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  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Senior and At-Risk Investors

    Join FINRA staff and industry experts as they discuss how FINRA rules and state requirements related to Senior and Vulnerable Adult clients can help firms service this growing client base and how to ensure your organization is protected. After attending this session, you will be able to: Review FINRA Rules 2165 & 4512 Discuss elder abuse prevention and protection act Review State Report and hold laws More Info

    $50
    1General Credit
  • On-Demand
    CDs, DVDs, USB Stick

    Securities Litigation & Regulatory Enforcement Conference: Insights for the Financial Services Attorney

    Join NYCLA’s Securities & Exchanges Committee, New Jersey State Bar Association’s Securities Litigation and Regulatory Enforcement Committee and NYCLA’s Futures & Derivatives Committee for a riveting discussion that will focus on the following topics: New Regulatory Landscape Reform, Proceedings, Investigations Developments in White Collar Matters & Insider Trading Cases in the wake of Newman Commodities, Futures and Derivatives – The Increasing Regulatory Reach Raising Capital & New... More Info

    $250
    6.25Total Credits
    2 Ethics
  • On-Demand
    CDs, DVDs, USB Stick

    Saving the Distressed Homeowner: A View From the Homeowner’s and Bank’s Side

    Since this program was first presented at NYCLA in 2009, the law relating to mortgage foreclosures and legal ways for distressed homeowner to save their investments has been evolving. The rules of the game for both homeowners and banks have changed, and the chances of reaching a settlement or obtaining relief from the courts have improved. More Info

    $125
    2.5General Credits
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Safeguarding Your Business & Investment Clients with Proactive Asset Protection & Estate Planning

    An effective Asset Protection & Estate Planning Program for Business & Investment Clients should address family and legacy considerations, complete asset protection and tax optimization simultaneously. In addition, it should be easy to use, capable of expanding through time to embrace growth in your clients’ business and investment portfolios, and it should be capable of being examined in the sunlight without legal concerns. And finally, it should be fully integrated so that all of y... More Info

    $100
    2General Credits
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Rules and Principles of The Division of Real Estate Between Married and Unmarried Partners

    This CLE course will focus on the division of real estate among divorcing couples. We will discuss how prenuptial and midmarriage agreements can protect the spouse's interest in the property and especially if a down-payment was provided by a family member. The course will also describe the pitfalls that befall practitioners when drafting divorce or separation agreements dealing with sale and buyout of real property. Examples and practice pointers will be provided. More Info

    $50
    1General Credit
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Reviewing Recent Enforcement and Regulatory Actions to Manage AML Risks

    Join FINRA staff and industry experts as they review legal cases and enforcement actions impacting AML programs. Panelists will cover regulatory trends, potential vulnerabilities, and how you can address any pitfalls in your AML program. Upon completion of this CLE, you will be able to: Discuss recent AML enforcement actions published by FINRA, the SEC (Securities and Exchange Commission) and other regulatory agencies, criminal and governmental authorities. Discuss various methods... More Info

    $50
    1General Credit
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Reverse Mortgages: Stay In Your House For The Rest Of Your Life? Not So Fast!

    This CLE Course will discuss in detail, how Reverse Mortgage holders often times file foreclosure actions without any basis to support the actions. The course will examine the problematic determinations by the Reverse Mortgage servicers of non-occupancy by Borrowers and provide guidance for attorneys to properly litigate these actions for their clients. You will be provided valuable insight as to how to effectively and powerfully handle these cases for your clients from incepti... More Info

    $50
    1.25General Credits
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Restricted Firm Obligations: What You Need to Know

    Join FINRA staff as they discuss Rule 4111 (Restricted Firm Obligations). During the session, panelists review the new obligation and criteria for identification. After attending this session, you will be able to: Review new obligations Identify controls, procedures, and processes that member firms are incorporating to address these obligations Review identification metrics thresholds Discuss restricted deposit accounts More Info

    $50
    1General Credit
  • On-Demand
    CDs, DVDs, USB Stick

    Representing the Section 1031 Tax Deferred Exchange Client

    Internal Revenue Code §1031 tax-deferred exchanges provide tremendous tax savings by allowing owners of real property to defer the capital gains normally due upon the sale of their property. This CLE program will explain how to effectively represent the needs of their clients who are contemplating an exchange. The program will discuss: The qualifications and requirements for an exchange Preparation of the sales contract, settlement statement and other closing procedures Considerati... More Info

    $50
    1General Credit
  • On-Demand
    CD/DVD/USB, Online, iOS/Android App

    Remote Supervision: Compliance Challenges in a Remote Working World

    The COVID-19 pandemic significantly affected firms’ day-to-day operations across the securities industry, including requiring firms to transition most or all staff to remote work environments and implement remote supervisory practices. Join FINRA staff and industry panelists as they discuss challenges firms face with staff working from home during the COVID-19 pandemic. Panelists also share what they have learned from these events and how they have improved their Business Continuity P... More Info

    $50
    1General Credit

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