Supervision: Obligations for Firms with Institutional Clients (ELC116)
This course covers the regulatory and compliance obligations of supervisors at firms servicing institutional clients. Realistic scenarios highlight responsibilities of supervisors in various business areas, including trading, institutional sales, proprietary trading and investment banking. Learners review the challenges in hiring and supervising staff, delegation, failure to document, and consequences of failing to perform supervisory duties.
Course Highlights
This online course leads participants through a series of scenarios, asks them to make decisions, shows correct and incorrect answers and then prompts them to complete and pass an optional mastery test at the end of the course.
Purchase Options
Note: A user name and password will be emailed within 48 hours of receipt of payment.
For more information, please call (212) 858-4119 or send us an email.