BSA/AML - What is Old is New Again?

Instructor: Burke Files
Product ID: 703352
  • Duration: 90 Min

recorded version

1x Person - Unlimited viewing for 6 Months
(For multiple locations contact Customer Care)
Recorded Link and Ref. material will be available in My CO Section
Last Recorded Date: Sep-2015

Training CD / USB Drive

One CD/USB is for usage in one location only.
(For multiple locations contact Customer Care)
CD/USB and Ref. material will be shipped within 15 business days

Customer Care

Fax: +1-650-362-2367


Read Frequently Asked Questions

This webinar will provide attendees a clear understanding of the compliance department of the future. Attendees will learn the best practices to ensure BSA and AML compliance and avoid failure and fines.

"BSA/AML - What is Old is New Again?" - This course is approved by NASBA (National Association of State Boards of Accountancy). Attendees of Live Webinar are eligible for 1.8 CPE credit up on full completion of the course.

Why Should You Attend:

BSA and AML compliance is a must. Compliance is not only good for avoiding fines and sanctions, it is even better for the financial institution. BSA and AML compliance should be proactive in nature, very open about its activities and authentic to its mission to be as effective as possible. Part of that is getting back to the core of the process and seeing what has worked, what does not work and where to spot the changes that are occurring every day.

Both the compliance failures and the frauds all have common elements – the financial professionals were not up to speed on current law changes and best practices. This webinar will focus on current enforcement trends, systemic risks to compliance, a glimpse into the future and getting it right and writing it up.

Areas Covered in the Webinar:

  • A clear definition of Due Diligence, from the man who wrote the book.
  • Where new regulatory attention is being focused – very important.
  • How to find your exposure to systemic risk and guaranteed fine.
  • How compliance can be guaranteed to fail.
  • The role of the compliance officer and team.
  • New ways of laundering money
    • Art
    • Securities
  • Steps to avoid failure and fines
  • Getting up from your desk
  • Third party help
  • Writing the reports; SAR, internal, etc.

Who Will Benefit:

  • Compliance Personnel
  • Risk Managers
  • Any branch or OSJ manager
  • Lawyers – not for law but on what is to be expected of compliance officers
  • Members of Audit Committee and Risk Committees
  • Securities Broker Dealers

Instructor Profile:

Burke Files, is the head of Financial Investigations & Evaluations, Inc. an international investigative firm specializing in asset recovery, due diligence, anti money laundering, intellectual property matters, a Certified Due Diligence Professional, and a Certified Anti Corruption Manager.

Mr. Files is the Practice Section leader on due diligence, asset recovery and intellectual property investigations. As a financial industry insider he is keenly aware of the type, and accuracy of the information required to make informed and timely decisions. Mr. Files has been the case manager on fraud investigations ranging from tens of thousands of dollars to over 20 billion. He is an international expert on due diligence and is regularly sought out for those cases that bedevil the desktop practioners.

Mr. Files is a published author of five books, in particular “Due Diligence for the Financial Professional, 2nd edition 2010” winner of two book awards, and “Money and Budgets”. He is also the author of several studies and white papers, and numerous articles. He has been quoted in many publications both domestic and international. Mr. Files is a Member of the Board of Advisors for the International Due Diligence Association as well as the President of the American Anti-Corruption Institute. Mr. Files is highly sought out international speaker on these subject matters.

We are registered with and adhere to the Statement on Standards for Continuing Professional Education programs of the National Registry of CPE Sponsors. Our registration number is 109066. Please check with the governing body of your license and state for specific CPE requirements. Grievances may be forwarded to the company at 650 620 3961. Grievances may also be forwarded to the National Registry of CPE Sponsors-NASBA, 150 Fourth Avenue North, Suite 700, Nashville, TN 37219-2417, 615-880-4200,, e-mail

Field of Study Minutes CPE
Auditing 20 0.4
Business Management & Organization 40 0.8
Specialized Knowledge and Applications 30 0.6

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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 call +1-888-717-2436 (Toll Free).

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