The New York Bankers Association is pleased to partner with Compliance Education Institute to offer web-based courses to address the growing demand for specialized expertise in building and managing compliant vendor management programs. Whether you require a primer on vendor management or an advanced certification course focused on specific areas of 3rd party risk, we have the course selection for your entire staff, including senior level executives. Available courses include:
- Certified Regulatory Vendor Program Manager (CRVPMTM) Level I
Web-based, self-paced online course; 6 hours; final exam; $499
- Certified Regulatory Vendor Program Manager (CRVPM™) Level II
Web-based, self-paced online course; 12 hours; chapter exams; $499
- Vendor Management: The BIG Picture
Web-based, on demand; 60 minutes; $249; includes workbook
- Vendor Management Essentials
Web-based, self-paced, on demand; 120 minutes; $349; includes reference guide, optional quizzes
3rd Party Lifecycle Risk Management Courses
- Program Structure and Compliance
Web-based, on demand; 2.5 hours; $299; includes chart, checklist; phone and email support
- Outsource Planning and Exit Strategy
web-based, on demand; 80 minutes; $299; includes checklist
- Vendor Selection, Performance and Value
Web-based, on demand; 80 minutes; $299; includes scorecard
Specialized Focus Areas of 3rd Party Risk
- 3rd Party Resilience: Is Your VENDOR Prepared for a Disruption?
Web-based, on demand; 85 minutes; $479; includes workbook, scorecard
- Vendor Site Visits: Beyond the Welcome Mat
Web-based, on demand; 60 minutes; $499; includes scorecard, planning worksheet, workbook
- Contract Issues and Exposures
Web-based, on demand; 2.5 hours; $479; includes workbook, checklist
Compliance Education Institute also conducts training and corporate and board-level presentations on-site. Reach out to NYBA Professional Development for details.
About Compliance Education Institute: CEI is the education division of RISC Associates, a leading regulatory compliance consultancy with deep expertise in GLBA 501(b). Leveraging its more than 30 years of banking, compliance and information security expertise and field experience, RISC has put together a series of educational courses offered through CEI to help bankers better prepare for the compliance issues they deal with on a daily basis.
Questions: Call Elisa Legg at 212-297-1679 or email@example.com.