Regulation and Compliance Courses

Today’s numerous regulation and compliance requirements continue to expand ever since the credit crisis hit the financial services industry hard. Whether you are an investment advisor, broker/dealer, hedge fund or financial institution, there doesn’t seem to be any end in sight.

On the regulatory compliance side — anti-money laundering, anti-fraud, anti-corruption, supervision, suitability, books and records, and the SEC Net Capital Rule — all continue to remain at the forefront of the industry’s concerns. The newer regulations, including the Volcker Rule, Basel III and the Dodd-Frank Act, have created even more extensive compliance requirements, resulting in added costs to the financial services industry.

GFMI offers a full suite of regulation and compliance courses. Following are just a few examples from our compliance and regulation curriculum:

For a full list of regulation and compliance courses or to have a course custom designed contact us today!