Financial Services Compliance Management
As one of the most highly regulated industries, banks and financial services organizations of all sizes are now more concerned than ever about risk and compliance management. Facing the scrutiny of multiple governing bodies – including CFPB, DOJ, FDIC, OTS, OCC, NCUA, SEC and FINRA – FIN SERV organizations spend substantial resources in mitigating risk and complying with a growing list of regulatory and operational compliance requirements. Because these laws and regulations are constantly in flux, the need to educate financial advisors on what has been updated and how it impacts their jobs is ongoing. All of this change management takes valuable time away from focusing on the financial well being of clients.
By consolidating your GRC initiatives onto a scalable cloud-based platform, you can confidently anticipate and navigate regulatory changes, manage risk intelligently and harness the competitive advantage of compliance.