Critical Issues on Certificates of Deposit (CDs)

Duration 60 Mins
Level Basic & Intermediate
Webinar ID IQW15C8909

  • What is a CD
  • Regulations
  • CD and Statements
  • Disclosures and Notifications
  • CD Scenarios
                   - Pay on death designation
                   - Waiving CD penalties
                   - Owners signature
                   - Cashing a CD
                   - Signing a CD
  • Non-compliance Consequences
 

Overview of the webinar

This webinar highlights the specific issues as it relates to Certificates of Deposit (CD). The areas of focus outlined in this webinar are based on best industry practice, supervisory experience and cover the major components of CDs. We will look at these areas and the specifics of each area as it pertains to CDs.

 

Who should attend?

  • Deposit Operations
  • New Accounts Personnel
  • Service Representatives
  • Personal Bankers
  • Compliance Officers 

Why should you attend?

Time deposits are subject to various federal and state rules and regulations, specifically Regulation D, E, and DD. Failing to comply with these regulations can result in regulatory issues, fines, and penalties for financial institutions. Understanding how to protect a financial institution from this is critical to the success of deposit operations. This webinar will explore and discuss how to protect the account holder and the financial institution from commonly known issues with certificates of deposits.
"Critical Issues in Certificates of Deposits (CDs)" highlights best practices that are being acknowledged and recognized by regulators and examiners. In this webinar, we will discuss the areas that regulators and examiners are primarily focusing on with regards to certificates of deposits.

 

Faculty - Dr.Gina J. Lowdermilk

Dr. Gina J. Lowdermilk, Ph.D. (ABD), CAMS, CRMS is a highly experienced and educated BSA/AML and financial regulatory compliance professional with extensive experience in policy and procedure development and implementation, training, internal audit, monitoring, risk management and reporting. Her emphasis has been working with financial institutions that are experiencing regulatory concerns and resolutions, including enforcement actions such as memorandums of understanding and cease and desist orders. Her 15 years of experience has given her the opportunity to work from small community banks to large, international financial institutions. Her roles not only included BSA/AML and compliance, but also operations, lending services, business development, marketing, management, department development, and asset quality.

Dr. Lowdermilk has worked with almost all financial regulators and examiners. She possesses advanced Microsoft Excel, PowerPoint, Word, Internet Explorer, Visio, and Access skills. She also has experience with FiServ, BAM, CRA Wiz, TeamMate, COGNOS and Metavante banking software. She has been responsible for creating both recurring and ad hoc executive management and board presentations. In addition to her above experience, she is also an adjunct instructor for the business and construction management programs at a local college, as well as writes numerous BSA/AML and compliance articles, training materials, and manuals for numerous clients.

 

Bank Secrecy Act and Audit Best Practices.pdf

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