Performing BSA/AML/OFAC Risk Assessments: Components, Techniques and Best Practices

    /Dr. Gina  /J. Lowdermilkspeaker of Training Doyensinvite
    Speaker: Dr. Gina J. Lowdermilk


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    Duration: 60 Minutes
    Product Code: 50917
    Level: Intermediate

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OVERVIEW

This 60-minute webinar will summarize the importance of performing BSA/AML/OFAC risk assessments properly. It will discuss the various components needed in order to implement an effective risk assessment, as well as, what is needed to maintain an appropriate risk assessment on-going of BSA/AML/OFAC. It will provide insight to what regulators and examiners expect from financial institutions in their BSA/AML/OFAC risk assessments.

WHY SHOULD YOU ATTEND

Attend the webinar to learn the techniques of performing BSA/AML/OFAC risk assessments properly and know why it is so important for financial institutions.

AREAS COVERED

  • BSA/AML/OFAC risk assessment expectations
  • Importance of working with all areas of financial institution for establishing appropriate risk ratings for BSA/AML/OFAC
  • Areas to be covered by the risk assessment
  • Risk rating guidelines and suggestions
  • Monitoring of banking risk threshold and risk ratings

LEARNING OBJECTIVES

Participants will be able to:

  • Conduct an effective BSA/AML risk assessment for your financial institution
  • Implement effective BSA/AML risk assessments
  • Implement best risk assessment strategies
  • Advise management on continuous monitoring of BSA/AML risk
  • Advise management of how the BSA/AML risk assessment plays a critical role in the Enterprise Risk Model
  • Recommend BSA/AML risk assessment approaches and oversight

WHO WILL BENEFIT

  • BSA / AML Officers
  • Internal Auditors
  • Staff with Roles and Responsibilities in BSA/AML Management and Oversight
  • Money Service Business BSA/AML Officers
  • Corporate Auditors
  • Risk Managers
  • Legal Department Personnel
  • Regulators
  • Compliance Officers

SPEAKER

Years of Experience: 15+ years

Areas of Expertise: BSA/AML and Financial Regulatory Compliance 

Dr. Gina J. Lowdermilk, PhD (ABD), CAMS, CRMS is a qualified BSA/AML and Financial Regulatory Compliance professional with extensive policy and procedure development and implementation, training, internal audit, monitoring, risk management, and reporting experience. Her emphasis has been on working with financial institutions that are experiencing regulatory concerns and resolutions, including enforcement actions such as memorandums of understanding and cease and desist orders. Her 15 years of experience has given her the opportunity to work with small community banks to large international financial institutions. Her roles not only included BSA/AML and Compliance, but also operations, lending services, business development, marketing, management, department development, and asset quality.

Ms. Lowdermilk has worked with all of the financial regulators and examiners. She possesses advanced Microsoft Excel, PowerPoint, Word, Internet Explorer, Visio, and Access skills. She also has experience with FiServ, BAM, CRA Wiz, TeamMate, COGNOS, and Metavante banking software. Gina has been responsible for creating both recurring and ad hoc executive management and board presentations. In addition to her above experience, she is also an adjunct instructor for the business and construction management programs at a local college, as well as writes numerous BSA/AML and Compliance articles, training materials, and manuals as per clients’ requests.

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