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AML Red Flags for Broker-Dealer Employees

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Description: This webinar highlights key elements of Anti-Money Laundering (AML) requirements for broker-dealers and what employees should be aware of in order to identify and report potential money laundering activity.

Why Should You Attend:
Although financial institutions, including broker-dealers have had to comply with AML requirements under the USAPA for over ten years and the BSA for over four decades, recent cases have occurred involving major financial institutions that were found by regulators to have had inadequate controls in place to prevent money laundering. In some cases, firms were found to be complicit in facilitating transactions on behalf of clients seeking to conceal illegal activities.
Had the “red flags” in such instances been identified, reported to appropriately designated officers within the firms as well as law enforcement authorities, the resulting fines, penalties and reputation damage could have been avoided.
This session highlights the requirements for broker-dealers under the law and covers the types of activities that employees should recognize as suspicious and trigger the reporting process. You will learn how to evaluate the risk in establishing and/or maintaining a business relationship with a customer.

Areas Covered in the Webinar:
-Principles of the Bank Secrecy Act
-Principles of the USA PATRIOT Act
-Principles of FINRA Rule 3310
-Red Flags: Due Diligence on Establishing New Business Relationships
-Red Flags: Customer Identification Programs
-Red Flags: Monitoring, Detecting and Reporting Suspicious Activity
-Each of these areas are examined in terms of their
.Content
.Meaning
.Employee Responsibilities

Who will benefit:
This training will benefit companies and personnel in the securities market. Titles include:
-Broker-Dealer Sales Personnel
-Broker Dealer Supervisory Principals
-Securities Representatives and Principals
-Business Managers
-Compliance Analysts
-Operations Personnel
-Non-Registered Administrative Personnel



URL: http://www.complianceonline.com/ecommerce/control/trainingFocus/~product_id=703146?channel=telesemin
Date: Monday, November 4, 2013
Time: 3:00pm-4:00pm UTC
Duration: 1 hour
Access: Public
Category: Business*, Finance*, Webinar*
Created by: Public Access
Updated: Thursday, October 24, 2013 9:57am UTC
Cost ($): 199
Call In Number: +1-650-620-3915
Contact Email: referral@complianceonline.com
Contact Person: Referral
Contact Phone: +1-650-620-3915
Comments: None



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