BAI Webinar

Section 1071, Bank Term Funding Program and new BAI resources and features


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RECORDED: May 18, 2023
TIME: 1:00 - 2:00 PM CT

In today’s quickly changing regulatory environment having the resources you need readily available is more important than ever. During this webinar, we will discuss the latest regulatory changes from the CFPB, Federal Reserve, FDIC, and more and review how the latest BAI resources, including new software features and content, can help you stay up to date. Please join us for this 60-minute webinar which will conclude with a Q&A session.

Discussion will include:

  • Overview of current regulatory environment
  • Available BAI resources including new Loan Review courses
  • New BAI Policy Manager User Dashboard
  • New BAI Learning Manager Skills tracking functionality

PRESENTERS:

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Stephen O'Brien
Product Manager, New Content
BAI

Stephen O’Brien is Product Manager, New Content at BAI where he takes the lead role monitoring regulatory changes, developing subject matter expert relationships, and setting BAI compliance content priorities. Stephen has worked in the industry for more than fourteen years and brings a wealth of understanding on not only compliance needs but education trends.



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Jason Linnenbrink
Manager, Product Management
BAI

Jason Linnenbrink is Manager, Product Management at BAI where he manages a team responsible for product planning, design, and customer insights. This includes researching, designing, and prioritizing ongoing improvements as well as steering new product innovation. Jason has worked at BAI for more than 10 years and has a wealth of experience in Sales, Product Development and Product Management in the eLearning industry.



Chris Boersma, CRCM, CISA, CAMS
Product Manager, Compliance
BAI

Chris Boersma is a Product Manager, Compliance, at BAI where he monitors and maintains a knowledgebase of existing and changing regulatory requirements, provides content for upcoming webinars, and is involved in new and existing product development. Before BAI, Chris was a Compliance Officer at multiple banks and credit unions ranging in asset size of $460 million to $6.5 billion. Chris was also a consultant for five and a half years at a large public accounting firm where he audited and provided regulatory guidance to financial institutions from $60 million to $3.5 billion in asset size. He has been in the financial institution industry for over 25 years and has over 19 years of compliance and auditing experience.