AML Regulatory Insight for August 2025: Implementing Recent Changes in Your Financial Institution

It's important for us to connect rules & regulations to roles. This way each staff member will understand their new responsibilities. We are going to take a project management approach to the new rules & regulations and show how we need to act to effectively implement them and to whom.

There are a number of ways to keep up with the changes which we will discuss during this training. This training is one of them! It will focus on recent rules & regulations from the CFPB, OCC, NCUA, Nacha, and more that have been released since the last quarter. We will also go over upcoming regulations in order to prepare ourselves for what will be released at a later time.

Webinar Oct 23 2025, Thursday 01:00 PM EDT 60 Minutes Basic Level Code: GRC0000198

  • Overview of current regulatory conditions
  • Regulatory review of the previous quarter
  • Upcoming regulations occurring in the next 3 months.
  • Examination perspective and update
  • Q&A

Anyone in the following functions

Compliance
Legal
Technology

Keeping up with the ever-changing regulatory environment can be challenging. We must keep up to date on any changes that impact our financial institution and specifically, our roles. Working within a highly regulated industry sometimes requires us to know what is coming from more than one regulator.

In our current environment, Regulators have become more focused than ever on ensuring financial institutions are operating with the consumer in mind.

With this in mind, it is extremely important for financial institutions to increase their oversight efforts. A lack of compliance can result in increased risk exposure for financial institutions trying to protect their consumers. This training is geared towards anyone working in the area of compliance or individuals who work with Compliance.

JUSTIN MUSCOLINO
JUSTIN MUSCOLINO

Justin brings over 20 years of wide-ranging experience in compliance, training, and regulation in the financial services sector. Most recently, he served as Head of Compliance Training at Bank of China where he led the compliance training function and created and monitored the annual training plan through a thorough training needs analysis. Previously he served as Macquarie Group’s Head of Americas Compliance Training and JPMorgan Chase’s Compliance Training Manager. Justin also worked for FINRA, a US regulator, where he created Examiner University to train examiners on how to perform their function.

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