Description:
In today’s ever-changing financial landscape, and with the recently finalized interagency guidelines on third-party management, appropriate supervision of third-party relationships is more critical than ever.
This three-part webinar series has been carefully crafted to help financial institutions navigate the complexities of third-party management and ensure compliance with the latest regulatory guidelines. When you join us, we’ll explore the intricacies of building, implementing, and managing a compliant third-party management program.
Part One – October 26th: Understanding the New Interagency Guidance
Part Two – November 1: Creating a Robust Third-Party Management Program
Part Three – November 9: Mitigating Risks Throughout the Third-Party Lifecycle
In addition to actionable best practices, you’ll…
- Gain a comprehensive understanding of the new Interagency Guidance on Third-Party Relationships.
- Identify and address compliance and regulatory challenges in third-party management.
- Learn best practices to build and implement a successful and compliant third-party management program.
- Develop robust due diligence and risk rating methodologies for effective vendor evaluation.
- Discover strategies to avoid common missteps and reduce risks throughout the third-party management lifecycle.
WHO SHOULD ATTEND
This webinar series is tailored for third-party relationship owners and third-party management staff, as well as professionals involved in risk management, compliance, vendor management, legal, audit, and executive leadership roles within financial institutions. Whether you are a seasoned professional seeking to enhance your knowledge or new to the world of third-party management, this series has something valuable for everyone.
PART 1 – 10/26/2023 at 2-4 PM ET
PART 2 – 11/1/2023 at 2-4 PM ET
PART 3 – 11/9/2023 at 2-4 PM ET
All webinar registrations include a recording of the session that can be reviewed as needed.
Presenters:
Kimberly Boatwright
November 1, 2023