Navigating emerging regulatory and risk management issues

Webinar series

Navigating emerging regulatory and risk management issues

Event details

Compliance demands are always changing, and organizations that proactively keep up can better position themselves to take advantage of opportunities.

In this series, Crowe specialists will spotlight new regulatory and risk challenges in the financial services industry as well as strategies for addressing these challenges more efficiently and effectively.

Each session is recommended for 1.0 hour of CPE credit.

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This series will feature a variety of Crowe financial services, fair lending, and risk management specialists.

Who should attend

Chief risk officers, chief compliance officers, chief information officers, chief operating officers, chief technology officers, chief audit executives, fair and responsible banking officers, general counsel, and board members

Additional information

For additional information on this event, please contact Jonathan Losey.

Continuing professional education

Advance preparation: None

Prerequisites: None

Program level: Overview

Field of study: Varies by session

Delivery method: Webinar (group internet based)

This series is recommended for 4.0 hours of CPE credit.

Additional CPE information

There is no fee to participate in this event; therefore, there is no cancellation fee.

Note: All participants MUST be logged into the webinar INDIVIDUALLY to receive CPE credit. CPE credit will only be granted in the name of the individual logged into the presentation. Crowe is unable to grant CPE credit for groups viewing the webinar.

Webinar dates

Fair lending in fintech relationships
Watch the recording

Kate Gutierrez-Wilson, CRCM, Financial Services Consulting
Matt Schuster, CPA, CRCM, Financial Services Consulting
Niall Twomey, CRCM, Principal, Financial Services Consulting
Note: This webinar is also recommended for 1.25 hours of CRCM credit.*

Model risk and model validation
Watch the recording

Ryan Michalik, Principal, Financial Services Consulting
Keaton Brownstead, Financial Services Consulting

New interagency guidance for third-party relationships
Watch the recording

Jill Czerwinski, Principal, Third-party Risk Leader
Asaad Faquir, Financial Services Consulting
Morgan Strobel, Financial Services Consulting
Nate Williams, Financial Services Consulting

How Section 1033 could change your approach to open banking
Watch the recording

Mohammad Nasar, Financial Services Consulting
Michael Dickey, Financial Services Consulting
Asaad Faquir, Financial Services Consulting
Pete Mannebach, Financial Services Consulting

* ABA Professional Certifications is dedicated to promoting the highest standards of performance and ethics within the financial services industry. Dodd-Frank Act, Section 1071: How to give your teams a head start on compliance has been approved for 1.25 CRCM credits. This statement is not an endorsement of this program or its sponsor. Certified professionals will report these credits at

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