Hosted by American Banker
Sponsored content from Venminder
Recording Date: August 21, 2018
Today’s business climate dictates that you will need to continue to rely on third parties and thus appropriately manage the associated risk. Unfortunately, most financial institutions are still struggling to bring their “A” game to the table when it comes to meeting the regulator’s third party risk management expectations and getting their programs up to industry’s best practices standards.
In this complimentary 60-minute session, the presenters will take you through what you should be doing, what the regulators expect, the areas where you could really be missing the boat and actionable steps you should be taking. Enforcement actions can mean big fines - make sure your institution doesn’t fall onto a regulator’s radar for the wrong reasons.
Chief Risk Officer
Attorney and Former Federal Banking Regulator
|Glen P. Trudel