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Develop practical knowledge and confidence in Introduction to Compliance.
This course will introduce the learner to the notion of compliance and the organization's commitment to adhering to laws and regulations surrounding compliance factors. The learner will also be exposed to the risks of non-compliance and the regulatory agencies involved. After completing this program, the learner will be able to:
This course turns the subject into practical, structured learning you can apply in real business and workplace situations. It is designed to help you move beyond definitions and understand how the ideas, tools and decisions covered in the course fit together.
This course is suitable for professionals, managers, business owners and learners who want practical knowledge they can apply in real workplace situations.
Course Outline
Seat Time: 1.5hrs
This course will introduce the learner to the notion of compliance and the organization's commitment to adhering to laws and regulations surrounding compliance factors. The learner will also be exposed to the risks of non-compliance and the regulatory agencies involved. After completing this program, the learner will be able to:
Course Topics
T1. Our Compliance Commitment: This topic will discuss an organization's commitment to full compliance with the laws and regulations established by regulatory agencies by providing information about roles and responsibilities, training, and other regulations.
T2. A History of Compliance: This topic will provide an overview of the history of banking around the world, from the 30th century B.C. and the onset of banking as an institution, to the present day and age and the fight against money laundering and terrorist financing.
T3. Compliance and the Financial Institution: This topic will define compliance in relation to financial institutions, including information about regulations and compliance in the workplace.
T4. The Risks of Non-Compliance: This topic will emphasize the importance of compliance regulations, with the reminder that errors harm the general public and the institution; it will also provide information about the penalties for non-compliant institutions.
T5. The Regulatory Agencies: This topic will provide an explanation of regulatory agencies and their responsibilities for the laws that affect the financial industry, including information about the Senate, House Committee, State Departments, and more.
T6. Audits and Examinations: This topic will describe the processes and procedures behind audits and examinations, with information about their requirements and their importance to regulatory agencies.
Part of this learning pathway: Compliance & Regulatory
Course pathway: eBSI Banking Academy > Compliance & Regulatory > Introduction to Compliance
Explore more Compliance & Regulatory training or return to the eBSI Banking Academy.
If you have any questions or would like to speak to one of our team before enrolling feel free to book a free video call with us by clicking the button below, we will be delighted to meet you on Google Meet!