IIB Seminar on Risk Management and Regulatory Examination/Compliance Issues Affecting International Banks

10/17/2011 - 10/18/2011

Corporate Finance | Capital Markets, Banking + Financial Services, and Financial Institutions + Financial Services

CUNY Graduate Center
365 Fifth Avenue
New York, NY 10016

Barbara R. Mendelson

Barbara R. Mendelson

Speaking Engagement

Christie Adams
cadams@mofo.com
(212) 336-4024

This once-a-year program is well recognized by the regulatory community as providing definitive and timely information on key examination and supervision issues and best practices. It provides an excellent opportunity for experienced officers to be thoroughly updated on new developments and gain practical insights in preparing for examinations. It also offers new officers a solid introduction to the U.S. regulatory system and compliance requirements. Accordingly, we urge all member institutions to be represented.

As in past years, the seminar will feature top bank regulatory officials at the policy and supervisory examination level as well as private-sector experts, including representatives from Institute member banks and member firms of our Professional Liaison Committee.


Partner Barbara Mendelson will be participating in a panel on Tuesday, October 18, 2011 from 9:00 AM - 10:15 AM on Trends and Key Developments in the Regulation of International Banks in the Context of Dodd-Frank Act Implementation.

Email Disclaimer

Unsolicited e-mails and information sent to Morrison & Foerster will not be considered confidential, may be disclosed to others pursuant to our Privacy Policy, may not receive a response, and do not create an attorney-client relationship with Morrison & Foerster. If you are not already a client of Morrison & Foerster, do not include any confidential information in this message. Also, please note that our attorneys do not seek to practice law in any jurisdiction in which they are not properly authorized to do so.

©1996-2019 Morrison & Foerster LLP. All rights reserved.