Regulatory oversight and scrutiny of financial institutions’ third-party risk management practices have increased considerably. There is growing pressure on the risk management structure at every institution. Whether it’s heightened focus on cyber security, the need for more rigorous monitoring, or the basics of good vendor management, how can a responsible compliance manager keep up? This webinar will provide an overview of the regulations, real-life examiner expectations, and best practices from a vendor management perspective.
ABOUT THE PRESENTER – Branan Cooper, Venminder
Branan Cooper is the Chief Risk Officer at Venminder. He has over 25 years’ experience in the financial industry with a focus on the management of internal processes and controls – most notably in third-party risk and operational compliance. Branan joined Venminder from Bancorp Bank where he was senior VP and Director of Third-Party Risk Management. He has held similar positions with PartnersFirst, the credit card division of Western Alliance Bancorp, and at MBNA America. A frequent speaker at industry events, Branan received his Bachelor’s from Duke University and completed the Graduate School of Retail Bank Management and the ABA’s Graduate School of Compliance Management.
This informative session would best suit compliance personnel, internal auditors, risk management staff, chief operating officers, and chief risk officers.
This webinar is being hosted through a national webinar provider. Wisconsin state law will not be addressed.
Tuesday, December 20, 2016 2:00 PM - 3:30 PMCentral Time
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