Cannon Financial Institute

Trust Audit, Compliance & Risk Management Issues & Updates

Cannon offers a robust two-day course focused on leading fiduciary audit and compliance trends. This course is not limited to Trust Audit, Compliance, & Risk Management professionals.

Cannon offers a robust two-day course focused on leading fiduciary audit and compliance trends. This course is not limited to Trust Audit, Compliance, & Risk Management professionals.  Topics complement all roles serving trust clients and supporting departments. Many professionals satisfy Continuing Education and Continuing Legal Education requirements with this course. Rules for CE and CLE approval are time sensitive and vary by designation and state. Cannon encourages early registration in order to allow for ample processing (request for credits may not be available after course completion).

Topics

  • Hot Topics and Trends
  • Regulatory Updates
  • Trust Audit Committees
  • Case Studies
  • Roundtable Discussions

Our strength lies in delivering solutions that achieve your firm’s specific goals and objectives. Contact us today to craft this program to meet your initiative’s timing, budget, and delivery considerations.

Want to Talk? Let’s Chat.

Press Launch Live Chat to chat online or give us a call at 706.353.3346.

Launch live chat