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This National Institute is the only two-and-one-half day primer on banking law. If you need the basics, you can’t afford to miss this program. Registration is closed for this program. Click here to order an audio CD package recorded at the fall 2007 Banking Law Basics program.
Attend this program and learn what you need to know about…
■ The Structure and Intent of Bank Regulation
■ The Impact of Gramm-Leach-Bliley and Sarbanes-Oxley
■ Permitted Investments and Activities of Banks, Bank Holding Companies and Financial Holding Companies
■ Securities and Capital Market Activities of Banks and Bank Affiliates
■ Insurance Activities and Cross-Industry Mergers
■ Geographic Expansion and Mergers and Acquisitions
■ Supervision and Enforcement
This fundamental banking law course was developed to provide practitioners with an understanding of the basic laws and regulations governing banks and bank holding companies. The course is a comprehensive introduction to banking law regulation for attorneys, consultants, and bank professionals who intend to work in the field. It is also a refresher course for experienced banking law practitioners whose practice has not provided an opportunity for the broad exposure which this course offers. This course also includes a two-hour segment on ethical considerations in the representation of banking organizations.
Who should attend this National Institute?
■ Lawyers at all levels of experience—from entry-level associates to seasoned practitioners who are involved or expect to become involved in banking law
■ Banking law specialists seeking to expand their knowledge and practices into other growing areas of concentration
■ All private practitioners who advise their corporate clients on banking law matters
■ Consultants, accountants and bank executives seeking a more comprehensive understanding of these important issues
Click for program brochure (PDF) |