Wolters Kluwer host webinar highlighting key findings of Regulatory Risk Management Indicator survey
6 December 2021
New York City, United States
Event to shine light on the most challenging risk and regulatory compliance issues facing lenders today
Wolters Kluwer Compliance Solutions is set to host a webinar to highlight the top risk and regulatory compliance concerns of U.S. banking institutions, based on findings from Wolters Kluwer’s ninth annual Regulatory and Risk Management Indicator survey. The webinar, “Annual Survey Tees Up Compliance and Ops Risk Priorities for 2022,” will take place from 1-2 pm EST Tuesday, December 14, 2021.
Representing Wolters Kluwer as webinar presenters are Timothy R. Burniston, Senior Advisor, Regulatory Strategy and Elaine Duffus, Senior Specialized Consultant, with Wolters Kluwer Compliance Solutions. They will share key survey findings of U.S. banks and credit unions relating to regulatory change management, top compliance and risk management challenges, environmental factors impacting financial institutions’ compliance and risk profiles, and expected regulatory and risk-related investments in the coming year.
“Our annual Indicator survey shines a spotlight on the most important regulatory and risk management issues that U.S. lenders are grappling with—and how they plan to address those challenges in the near term,” said Steve Meirink, Executive Vice President and General Manager, Wolters Kluwer Compliance Solutions. “We strongly encourage banking compliance and risk manager professionals to attend what promises to be a lively and timely discussion about the risk and compliance concerns of U.S. financial institutions and their ramifications.”
Wolters Kluwer Compliance Solutions is a market leader and trusted provider of risk management and regulatory compliance solutions and services to U.S. insurers, banks and credit unions, and securities firms. The business, which sits within Wolters Kluwer’s Governance, Risk & Compliance (GRC) division, helps these financial institutions efficiently manage risk and regulatory compliance obligations, and gain the insights needed to focus on better serving their customers and growing their business.
Governance, Risk & Compliance is a division of Wolters Kluwer, which provides legal and banking professionals with solutions to help ensure compliance with ever-changing regulatory and legal obligations, manage risk, increase efficiency, and produce better business outcomes.
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Capital Markets, Retail Banking