AML/BSA Requirements for Privately Owned ATMs

8 years ago Posted By : User Ref No: WURUR12857 0
  • Image
  • TypeWebinar
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  • Location New York, United States
  • Price
  • Date 18-07-2017
AML/BSA Requirements for Privately Owned ATMs, New York, United States
Webinar Title
AML/BSA Requirements for Privately Owned ATMs
Event Type
Webinar
Webinar Date
18-07-2017
Last Date for Applying
18-07-2017
Location
New York, United States
Organize and Presented By
Compliance Global Inc
Organizing/Related Departments
online training
Organization Type
Event Organizing Company
WebinarCategory
Both (Technical & Non Technical)
WebinarLevel
National
Related Industries

Education/Teaching/Training/Development

Finance

Location
New York, United States

Overview:

During the live session, our expert will discuss the areas that regulators and examiners are primarily focusing on in regards to POATMs. The areas of focus outlined in this webinar are based on best industry practices and supervisory experience.

Why Should You Attend:

Financial institutions are required to be compliant with BSA rules and regulations. Such compliance needs to be well documented and consistent to ensure financial institutions are adequately identifying POATM customers and mitigating those risks.

Areas Covered in this Webinar:

  • Implementing BSA compliance practices on privately owned ATMs 
  • Assessing policies and procedures regarding POATMs
  • Determining effectiveness and thoroughness of training programs
  • Ensuring qualified employee oversight of daily BSA operations regarding POATMs
  • Independent testing

Learning Objectives:

Financial institutions’ BSA POATM program must be included in the bank’s policies and procedures, comprehensive risk assessments, and monitoring programs.

Who Will Benefit:

  • Compliance Officer
  • BSA Officer
  • BSA Personnel
  • Opening Accounts Personnel

Email: [email protected] 
Toll Free: +1-844-746-4244
Tel: +1-516-900-5515

Speaker Profile:

Gina Lowdermilk is a highly experienced and educated BSA/AML and Financial Regulatory Compliance professional with extensive policy and procedure development and implementation, training, internal audit, monitoring, risk management, and reporting experience. Her emphasis has been working with financial institutions that are experiencing regulatory concerns and resolutions, including enforcement actions such as memorandums of understanding and cease and desist orders.

Her 15 years of experience has given her the opportunity to work from small community banks to large, international financial institutions. Her roles not only included BSA/AML and Compliance, but also operations, lending services, business development, marketing, management, department development, and asset quality. Ms. Lowdermilk has worked with all of the financial regulators and examiners. She possesses advanced Microsoft Excel, PowerPoint, Word, Internet Explorer, Visio, and Access skills.

She also has experience with FiServ, BAM, CRA Wiz, TeamMate, COGNOS, and Metavante banking software. Gina has been responsible for creating both recurring and ad hoc executive management and board presentations. In addition to her above experience, she is also an adjunct instructor for the business and construction management programs at a local college, as well as writes numerous BSA/AML and Compliance articles, training materials, and manuals as requested from numerous clients.

Others Details

For more details and updates please visit website.

Registration Fees
Available
Registration Fees Details
Visit website
Registration Ways
Website
Address/Venue
  Online 
Official Email ID
Contact
COMPLIANCE GLOBAL INC

Compliance Global Inc. 2754 80th Avenue, New Hyde Park, NY 11040

[email protected]

   8447464244      516-900-5515
   Fax No: 516-900-5510