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Classroom Learning

Home > Education & Programs > Classroom Learning
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Classroom Learning

Learn About Regulatory Compliance in Live, Interactive Settings Designed to Keep You Competitive in a Fast-Moving Industry

 

Classroom learning participants deepen their knowledge of securities laws and regulations, examine best practices for current legal and regulatory requirements, and acquire practical new skills they can apply immediately on the job.

 

Offered in convenient locations across the country, Classroom Learning is ideal for compliance professionals, regulators, branch managers and supervisors, risk managers, attorneys, auditors, underwriters, accountants and others. Many of the courses qualify for CPE credits or credit toward the FINRA Institute at Wharton Certified Regulatory and Compliance Professional™ (CRCP™) Program.

 

In addition, FINRA also offers Boot Camp programs that allow participants to get up to speed quickly on the fundamentals of securities regulation and compliance. These programs feature a rigorous combination of self-study, classroom training and assessment testing. FINRA Boot Camps are ideal for staff members who are new to compliance or to the securities industry.

 

2008 Classroom Learning Offerings: 

 

Anti-Money Laundering

New York, NY

October 2, 2008

7:30 am - 5:15 pm


Capital Adequacy: Rule 15c3-1

New York, NY

September 24, 2008

8:30 am - 5:15 pm


Communications with the Public

New York, NY

November 19, 2008

8:30 am - 1:15 pm


Compliance Essentials: Weeklong Program

Miami, Fl

December 8 -12, 2008

8:30 am - 4:30 pm


Customer Protection: Rule 15c3-3

New York, NY

September 25, 2008

8:30 am - 5:15 pm


Debt Mark-Ups: Current Regulatory Environment

New York, NY

October 28, 2008

8:30 am - 1:45 pm


Drafting and Maintaining Written Supervisory Procedures

Chicago, IL

October 16, 2008

8:30 am - 1:15 pm


Ethics

New York, NY

September 15-16, 2008

7:45 am - 4:45 pm


Fixed Income Products and Regulation

New York, NY

October 29-30, 2008

8:30 am - 4:45 pm


Hedge Funds

New York, NY

November 20, 2008

8:30 am - 5:00 pm


Internal Inspections of a Broker-Dealer

New York, NY

November 6, 2008

8:30 am - 5:15 pm


Market Regulation

New York, NY

September 9, 2008

8:15 am - 5:15 pm


Mutual Funds and Regulation

Available in 2009

 

 


Responding to Regulatory Inquiries and Preparing for Regulatory Examinations

Available in 2009

 

 


Risk, Compliance and Controls

Available in 2009

 

 


Supervision in the Securities Industry I

Chicago, IL

October 14, 2008

8:30 am - 5:00 pm


Supervision in the Securities Industry II

Chicago, IL

October 15, 2008

8:30 am - 5:00 pm


Variable Products: Suitability, Disclosure and Supervision

New York, NY

December 3, 2008

8:30 am - 5:00 pm

 

 

 



 

View Our Conferences and Classroom Learning by Event Date

Questions or Comments? Contact Us

Only FINRA's Spring and Fall Securities Conferences are open to the media. All other FINRA conferences, pre-conferences, seminars, and other professional development courses are closed to the media.