Cannon Financial Institute

Trust Audit, Compliance & Risk Management Issues & Updates

These courses are structured to keep trust audit and compliance professionals apprised of current developments within the industry. Given the nature of emerging issues and trends, exact coursework may vary.


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

Online Exclusives

Are you ready? The Cybersecurity Assessment Tool  -  Available Now 
Cyber-crime is on the rise; will your firm be ready to fight back? 

Getting in Line: FINRA & SEC Examination & Regulatory Priorities - Available Now
Review the FINRA and SEC issues that may impact your audit, compliance and risk management processes. 

Comparing and Contrasting Discretionary, Delegated & Directed Trusts - Available Now
Compliance and risk management see things differently, especially when it comes to the different types of trusts. 

View the complete Cannon Trust Audit, Compliance & Risk Management Issues & Updates Collection here.


Many professionals satisfy Continuing Education and/or 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). 

Our books, audio lessons, videos, and eLearning could be the perfect fit for your enterprise professional development plans. Contact our learning professionals today to discuss how we can add Cannon assets into your learning initiative based on your audience size, timing, and budgetary needs.

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