Announcements and analysis of key fintech, regulatory and compliance issues as they unfold.

Brandon Klerk Brandon Klerk

Speaking Engagement: Thomson Reuters Compliance and Risk Forum

Join Brandon Klerk, Founder of Halyard Compliance LLC, for the Thomson Reuters Compliance and Risk Forum 2015 on September 30th at the Palmer House in Chicago.  Mr. Klerk will join other industry experts for a panel discussion on “Training as the Cornerstone of an Effective Compliance Program“.   Attend the session to hear about:

“Your compliance and ethics training program sets the tone and delivers the expectations for your workforce. As the most standardized and pervasive employee interaction, training should be the root of all initiatives that are designed to drive a culture of compliance and ethics in your business. Whether it is tone, compensation, enforcement or policy and procedure management, effective training can serve as the cornerstone. During this session, panelists will examine:
• Promoting and measuring employee engagement
• Addressing regulatory learning fatigue
• Fostering an ethical and compliant workforce
• Defining and delivering ROI”

https://info.risk.thomsonreuters.com/2015-Roadshow-Chicago?elq=00000000000000000000000000000000&elqCampaignId=&elqaid=5851&elqat=2&elqTrackId=e4979017cef84683bdb9870303554b58

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Brandon Klerk Brandon Klerk

Speaking Engagement: FINRA National Conference

Join Brandon Klerk, Founder of Halyard Compliance LLC, at the FINRA National Conference in Washington D.C. May 27-29th for a panel discussion with FINRA and SEC staff members on Alternative Investments and Complex Products. Attend the session to hear about private placements, structured products and other alternative investment products, and to hear regulatory perspectives and industry-effective practices regarding these products. This session will be available via broadcast.

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Brandon Klerk Brandon Klerk

Speaking Engagement: NSCP Mid-West Regional Conference

Join Brandon Klerk, founder of Halyard Compliance LLC, on May 7th at the Federal Reserve Bank of Chicago for the National Association of Compliance Professionals (NSCP) Mid-West regional conference for two panel discussions, Essential Compliance Skills and Managing Broker-Dealer Regulatory Examinations.

Essential Compliance Skills

  • Communication

  • Achieve business “partner” status

  • The art of why not versus cannot

  • They have a question, but I don’t know the answer; how not to lose credibility

  • Your role in helping management understand compliance risk

 

BD – Regulatory Exams

  • Current exam priorities:  What regulators are looking for

  • Preparing for the exam and responding to the exam requests

  • Demonstrating your Culture of Compliance and an effective control environment

  • Preparation and management of the entire exam process

  • What to expect for an exit interview and resolving deficiencies

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