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Update On RESPA Section 8 Violations

Webinar: ID# 1006081
Date: Recorded
Update On RESPA Section 8 Violations
About This Course:
This webinar reviews the RESPA/Regulation X rules that prohibit unearned fees and kickbacks and many of the recent consent decrees brokered by the CFPB.

In addition to the trainer-led session, participants receive a detailed manual that serves as a handbook long after the webinar is over.

Covered Topics:
  • Which transactions are covered by RESPA's prohibition against unearned fees and kickbacks
  • What actions are prohibited
  • What compensation is permissible
  • What constitutes a referral fee, an unearned fee, or a kickback
  • What constitutes an affiliated business arrangement and the rules that apply to such arrangements
  • How to properly handle broker arrangements
  • Recent CFPB consent decrees related to Section 8, including a case where the CFPB didn’t come out the winner in the end
Who Should Attend

The program is designed for loan officers, compliance officers, loan processors and clerks, auditors, and anyone else with responsibilities related to federally related mortgage loans.

The Presenters

Jack Holzknecht is the CEO of Compliance Resource, LLC. He has been delivering the word on lending compliance for 41 years. In 36 years as a trainer over 130,000 bankers (and many examiners) have participated in Jack’s live seminars and webinars. Jack’s career began in 1976 as a federal bank examiner. He later headed the product and education divisions of a regional consulting company. There he developed loan and deposit form systems and software. He also developed and presented training programs to bankers in 43 states. Jack has been an instructor at compliance schools presented by several state bankers associations. As a contractor, he developed and delivered compliance training for the FDIC for ten years. He is a Certified Regulatory Compliance Manager and a member of the National Speakers Association.

Kelly M. Owsley is Director of Training Services for Compliance Resource, LLC. Kelly’s career in banking began in 2000. Since then she has worked for financial institutions ranging in asset size from $250 million to $3 billion. Kelly has worked in numerous areas of the financial services industry including retail branch management, lending, product development and training. In addition, Kelly spent three years in a training and development role with CUNA Mutual Group servicing the largest credit union in the United States. Most recently, she served as the Vice President of Compliance, BSA Officer, and CRA Officer for a community bank where she was responsible for implementing and training all compliance related topics. Kelly has conducted seminars in multiple states and has participated in numerous webinars sponsored by national providers. She is a Certified Regulatory Compliance Manager.
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Update On RESPA Section 8 Violations
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