Business Continuity & Compliance for Financial Services Firms

The SEC, FINRA, and other GRC bodies prescribe a variety of business continuity compliance standards and recommendations that go beyond data protection and recovery.Topics such as assessments, plan development, alternative locations, and communications can be difficult for non-BC professionals to develop and maintain at the levels needed for true preparedness. Join Preparis as our experts offer "how to" insight on several key elements of successful and compliant BC programs for investment and asset management firms.

Originally broadcast: April 2, 2014

Featured speakers

  • Doug Langley (VP of Business of Continuity Solutions)
  • Armistead Whitney (Founder & CEO)

To view the webinar and download the slides, simply fill in your details below.