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Event Date Thu Sep 27 EDT (about 3 years ago)
Region All
Details

This webinar builds on the themes of previous MBA internal audit webinars by discussing how effective internal audit programs evolve over time. What does it mean to have an effective internal audit function? What is the best structure for your internal audit function? Where does the function report in the organization? Are there professional designations for internal audit? Who sets the internal audit credentials and standards? How should the risk assessment process work? Does it matter who completes the risk assessment? How does it impact the audit plan? These are just some of the common questions facing independent mortgage bankers. The webinar presenters possess industry recognized internal audit credentials and include a lender faced with these same questions who will address how their decisions over a two-year time span impacted their most recent MORA review.

Who Should Attend?

• Executive management including CEOs
• Board Directors - particularly any on the audit committee or with board oversight over audit
• Internal Audit management
• General Counsel
• Compliance management
• Department heads - including mortgage operations, servicing, QC, capital markets, accounting/finance, vendor management, IT, etc.

Speakers

2018 Speakers

Chris Ortigara
CMB®, CrossCheck Compliance LLC

Heidi Wier
Managing Director, CFSA, CrossCheck Compliance LLC

Jim Shankle
Managing Director, CFSA, CrossCheck Compliance LLC

Tim Meehan
VP Compliance, Royal United Mortgage