National Flood Insurance Regulations

National Flood Insurance Regulations

SELF-PACED ONLINE COURSE: ABA ELEARNING  (LENGTH 1 HOUR)
Price: $275 members; $375 non-members
Member Online Enrollment | Non-Member Online Enrollment
This course is also available at discounted prices under an annual license.  Call or email for details.
National Flood Insurance Regulations is one of several courses in the Online Courses for Compliance Professionals series.
The purpose of this course is to provide information about the national flood insurance regulations and requirements including the application of Federal Financial Institutional Examination Guidance, National Flood Insurance Program, and Official Questions and Answers, as applicable. This course provides a brief history of the federal flood insurance statutes and regulations, an overview of flood insurance requirements, and a discussion of enforcement.
Students will learn through a combination of instructor videos, exercises, readings, glossaries, self-assessments and more. Students will complete the course with a final exam to earn Certified Regulatory Compliance Manager (CRCM) credits.
Training you access anytime, any place.  Via your desktop computer, laptop, iPad or any tablet.
 
Price
Per Student: $275 Members / $375 Nonmembers
Includes unlimited access to course content for one year.
Prerequisites
None
Required Software
None
Optional Software
Adobe Acrobat Reader
Audience
Compliance professionals including compliance managers, officers, and other compliance team members whose primary role is within the compliance function at their financial institution; bank examiners, bank regulators, auditors and lending compliance professionals.
Learning Objectives
After completing this course, students will gain a fundamental understanding of National Flood Insurance Regulations for Compliance Professionals and learn how to:
  • Describe the background and history related to the national flood insurance regulations
  • Explain the general regulatory requirements for the Act  
Your Instructor
Greg Imm, Chief Compilance Officer
Community Affairs and Fair Lending
Fifth Third Bank
Imm directs the enterprise-wide CRA and Fair/Responsible lending program for Fifth Third, the $112 Billion in assets, 16 affiliates and 1,300 branches in nine states.  Prior to Fifth Third, he was the chief compliance officer for OneWest Bank.  He is a ABA Compliance Schools faculty member. 
The Nebraska Bankers Association is a Local ABA Training Provider.
For More Information Contact:

Joanne Smith
Education and Member Information Coordinator

Nebraska Bankers Association / 233 South 13th Street, Suite 700 / PO Box 80008 / Lincoln, NE 68501-0008