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Registration for this event is open from: | Apr 6, 2021 12:00 - Nov 18, 2021 12:00 | |
Where: | Webinar, Recorded, Both Live/Recorded, (US). | |
Date: | May 18, 2021 - May 18, 2021 | |
Time: | 02:00 - 03:30 | |
Event description: | ||
Surviving a TRID Compliance Exam(90-minute webinar – recording also available) Tuesday, May 18, 2021 12:00 PM Pacific 1:00 PM Mountain 2:00 PM Central 3:00 PM Eastern TRID troubles? Are you ready for your next exam – or do you have questions? Examiners require full compliance with TRID’s complex regulatory and documentation requirements. Do you know the likely areas of scrutiny? This insightful session will outline common issues and best practices when preparing for and responding to exams or audits. AFTER THIS WEBINAR YOU’LL BE ABLE TO:
WEBINAR DETAILS Examiners and auditors require full compliance with the detailed, technical TILA/RESPA Integrated Disclosure (TRID) requirements, including the 2018 TRID amendments. Given the complex requirements, mortgage lenders need to perform internal reviews and analyze mortgage practices to ensure their disclosures and procedures are compliant – and ensure they are appropriately positioned to push back on overstated or incorrect findings. While a full review and analysis of the TRID requirements is not possible, this webinar will provide answers to common questions and likely areas of examiner or auditor scrutiny. Timing requirements, written lists of providers, and tolerance levels will be specifically analyzed. Documentation and record retention requirements will also be discussed. WHO SHOULD ATTEND? This informative session is designed for mortgage lenders, compliance staff, and audit teams with the goal of ensuring everyone is on the same page when preparing for or responding to a TRID exam or audit. TAKE-AWAY TOOLKIT
DON’T MISS THIS RELATED WEBINAR! Understanding TRID Tolerance Cures on Thursday, September 30, 2021 MEET THE PRESENTER - Steven Van Beek, JD, Howard & Howard Attorneys PLLC Steve Van Beek is an attorney at Howard & Howard Attorneys PLLC where he concentrates his practice in the area of financial regulations. He assists financial institutions throughout the country manage and reduce compliance, legal, and reputation risks. Prior to joining Howard & Howard, he served as the Vice President of Regulatory Compliance at the National Association of Federal Credit Unions (NAFCU). He received his bachelor’s from Hope College and his JD from George Mason University School of Law and is a member of the American Bar Association. THREE REGISTRATION OPTIONS – WHAT YOU GET 1. Live Webinar Includes
2. Recorded Webinar Includes
3. Purchase the BOTH Option to receive all the benefits listed above! Full registration descriptions can be found here. Note: All materials are subject to copyright. Transmission, retransmission, or republishing this webinar to other institutions or those not employed by your financial institution is prohibited. Print materials may be copied for eligible participants only. AFFORDABLE, PROFESSIONAL TRAINING, WHEN AND WHERE YOU CHOOSE
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