Regulatory Compliance Training
Previously compliance, in-house legal and operations executives have relied upon colleagues or consultants to fill gaps in knowledge or work product.
Consultants are costly and disclaim any responsibility for their advice and work product. Additionally, regulatory filings and pre-examination questionnaires require firms to disclose the use of compliance consultants. Most importantly, regulators and prosecutors hold the firm, and its personnel responsible – not the consultants.
Unfortunately, the regulatory and reputational risk produced by the ever-escalating examination and enforcement environment requires an institutionalized solution.
That’s why over 18,000 executives use myUniversity or Practice Edge for a properly vetted, comprehensive and practical source of information in order to address a myriad of weekly issues and challenges.
The RCA’s PracticEdge™ Platform:
- Delivers 3-level, peer reviewed commentary and materials
- Developed and maintained by accredited Sr. Fellows from Practice
- For over 750 topics, across over 70 courses
All courses qualify for CPE, CLE and Continuing Compliance Education (CCE) for which the RCA is the exclusive programmatic accreditation agency.
To view a course catalog, schedule a demonstration of the myUniversity Platform or speak with a Curriculum Advisor, select the appropriate button on the left navigation.