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1:30pm to 3:30pm |
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How to Complete the NEW Good Faith Estimate and Settlement Statements
(Presented by David Dickinson and Jerod Moyer)
It's time! We've waited, waited and waited some more for someone to intervene and put a stop to the January 1, 2010 RESPA reform.   | WEBINAR TIME:
11:30AM - 1:30PM PT
12:30PM - 2:30PM MT
1:30PM - 3:30PM CT
2:30PM - 4:30PM ET |
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It hasn't happened and the day of reckoning will soon be upon us. It's time to embrace the change. We don't like it any more than you do. However, effective training can be your refuge when it comes to understanding and complying with these new requirements.
If you think you've got the Good Faith Estimate and Settlement Statement completion down, think again. Beginning no later then January 1, 2010 you will be required to use the new Good Faith Estimate and Settlement Statement forms. These new forms bear few similarities to the current forms and will be subject to mandatory tolerance requirements.
Join BOL Guru and President of Banker's Compliance Consulting David Dickinson and Jerod Moyer on November 10th, as they guide you through the tedious process of completing the new Good Faith Estimate and HUD-1/1A Settlement Statement forms.
The Webinar will provide step by step and line by line instructions for the key data fields contained within these complex, new forms. These forms are not easy to understand. You must allow sufficient time to train your personnel on how to complete the forms well before the mandatory compliance date.
Who Should Attend:
This program is designed for compliance officers, mortgage loan officers, loan originators, loan administrative personnel and others involved in mortgage lending.
About the Speakers:
David is a highly trained expert in compliance regulations. He is also a motivational speaker and innovative educator. As a qualified speaker on compliance issues, David speaks for the American Bankers Association's National Compliance School, as well as, several State Banking Associations. He conducts various seminars throughout the year, has developed numerous compliance manuals and has written articles for prestigious banking publications. In 1993, He established the firm of Banker's Compliance Consulting.
Jerod has a strong compliance background which includes compliance positions held with an $800 million, five bank holding company and an $840 million bank. His experience as an internal bank compliance officer enables him to assist banks in understanding and organizing compliance programs. Being a banker first, then changing careers to assist the banking industry as a regulatory compliance consultant, gives Jerod a unique blend of experience to share. Jerod's knowledge allows him to take compliance issues presented, correlate them to his own past experiences and provide practical solutions. Jerod has counseled financial institutions on numerous regulations, conducted audits and has been a speaker at seminars.
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