Bank Compliance Failures: Examples and Lessons


Instructor: Jim George
Product ID: 706784

  • 7
  • February 2022
  • 09:00 AM PST | 12:00 PM EST
    Duration: 60 Min
This webinar uses actual case studies to look at what leads to compliance failures, and how to handle them. In each case. What were the specifics of the situation? Why was there a failure? How was it identified? What did it take to fix it? How could it have been avoided? (Lessons learned). It concludes with a summary of the evident patterns and learnings.

February 07, Monday 09:00 AM PST | 12:00 PM EST
Duration: 60 Min


One Dial-in One Attendee

Group-Max. 10 Attendees/Location
(For multiple locations contact Customer Care)



1 Person Unlimited viewing for 6 month info Recorded Link and Ref. material will be available in My CO Section 48 hrs after completion of Live training
(For multiple locations contact Customer Care)

1 USB is for usage in one location only. info CD/USB and Ref. material will be shipped within 15 business days after completion of Live training
(For multiple locations contact Customer Care)



Customer Care

Fax: +1-650-362-2367

Email: [email protected]

Read Frequently Asked Questions

Why Should You Attend:

This webinar will provide valuable assistance to many areas of banks or other financial institutions:

  • Understand the common causes compliance failures.
  • Know how failures can be identified before more harm is done.
  • Learn how compliance failures are best managed and fixed?

Areas Covered in the Webinar:

  • Why is compliance a major concern right now?
  • What are the common causes of compliance failures?
  • Case-based discussion:
    • AML cases
    • SOX cases
    • “Work not done” cases
    • Corporate Leadership
  • Some general observations

Who Will Benefit:

  • Compliance officers,
  • AML Department leaders, each Business Unit from Banking,
  • Credit Unions or any Financial Services company with regulations to comply with.
Instructor Profile:
Jim George

Jim George
Independent consultant, George Consulting LLC

Jim George is an independent consultant to banks focusing on issues of fraud. He has over 25 years’ experience as a consultant to major banks in associate partner and principal roles at PriceWaterhouse-Coopers Consulting, IBM Consulting in Bank Risk and Compliance, and Andersen Consulting (now Accenture). He has also been SVP Operations for a Fortis-US division providing outsourcing services to the banking industry.

His work includes projects in fraud investigation, fraud prevention, identity issues, compliance, and AML (anti-money laundering). Mr. George’s background also includes work in bank operations and payments strategy, reengineering, systems, and quality improvement.

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Refund Policy

Registrants may cancel up to two working days prior to the course start date and will receive a letter of credit to be used towards a future course up to one year from date of issuance. ComplianceOnline would process/provide refund if the Live Webinar has been cancelled. The attendee could choose between the recorded version of the webinar or refund for any cancelled webinar. Refunds will not be given to participants who do not show up for the webinar. On-Demand Recordings can be requested in exchange. Webinar may be cancelled due to lack of enrolment or unavoidable factors. Registrants will be notified 24hours in advance if a cancellation occurs. Substitutions can happen any time.If you have any concern about the content of the webinar and not satisfied please contact us at below email or by call mentioning your feedback for resolution of the matter. We respect feedback/opinions of our customers which enables us to improve our products and services. To contact us please email [email protected] call +1-888-717-2436 (Toll Free).




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