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Course/Product Description
Title:

Vendor Management Essentials

SKU:OT-1004723
Format: Online Training Course
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Description:

Vendor Management Essentials

Building, implementing, and managing a compliant vendor management program is no easy task given the proliferation of regulations, rules and Guidance, many of which overlap.

Add to this the increased regulatory scrutiny due to high profile breaches, financial institutions must have a solid understanding of the driving regulatory issues that surround vendor management, the key ideas required to build and implement a successful and compliant program, and the expectations of examiners and auditors.

If you are tired of being told to “Read Guidance” then this training program is a must!

Vendor Management Essentials borrows from our highly acclaimed Certified Regulatory Vendor Program Manager (CRVPM) designation course and takes a detailed dive into the essential areas that anyone tasked with vendor management must know, including:

  • Regulations
  • Due Diligence & Risk Rating
  • Contract Review, Periodic Review, Policy
  • Exam and Audit Preparation
  • The new requirements from FRB
  • OCC Guidance
Included Materials:
  • A one-year subscription to the Regulatory Vendor Program Manager Reference Guide
  • One year of telephone and email support for vendor management and GLBA 501(b) related issues
  • Certificate of Completion
Who Should Take This Course:

Vendor relationship Owners, Vendor Management staff, 1st, 2nd and 3rd Lines of Defense, Compliance Officers, Risk Officers

How To Access This Course:

This course, as well as the Certification, is provided through the Compliance Education Institute. The Institute will email you directly with access instructions for taking your course and starting the process towards earning your CRVPM Certification once you order the course!

Prerequisite: None, though students may want to earn the CRVPM
Designation

About The Provider: CEI is the education division of RISC Associates, a leading regulatory compliance consultancy focused on GLBA 501(b) regulatory issues. Leveraging its more than 30 years of banking, compliance, and information security expertise and field experience, RISC has put together a series of educational courses offered through our CEI division to help bankers better prepare for the compliance issues that they deal with on a daily basis. These course are derived from the popular sessions that we have conducted at various banking conferences around the country, and are focused on helping bankers address the overwhelming regulatory burden.
Price: $349.00
More Info: Contact Us For More Information
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