We have launched a fully updated Anti-Money Laundering/Anti-Terrorist Financing course developed specifically for independent life insurance advisors. What does the course include? · 6 hours of continuing education credit for life license (FPSC pending) · Two training modules · A completely revised AML/ATF Guidance Manual · A self-assessment tool for advisors · Customizable templates so that financial advisors can create and maintain a FINTRAC compliance regime. Whats the cost? The course is offered at a cost of $200 plus tax, and IFB members receive a $50 discount! Bulk pricing for groups of 5 or more is available, please contact IFB at 905-279-2727 (toll free 1-888-654-3333) or email general@ifbc.ca for more information. Why did we develop this course? Independent life insurance licensed advisors must be able to demonstrate they are compliant in meeting their AML/ATF obligations. Even dual licensed advisors who rely on their dealer to provide a compliance regime for their securities business is obligated to have a separate and complete compliance regime for their life insurance business. Penalties for non-compliance can be high, and FINTRAC actively audits life insurance advisors and agencies. Under FINTRAC regulations, independent life insurance advisors are required to complete AML/ATF training on a regular basis, and to provide proof that this training has been completed if requested. Visit ifb.smartdirect.ca and register today! |