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Managing Cannabis Risk
April 26, 2021 @ 2:00 pm - 3:30 pm CDT
FinCEN provided additional guidance to provide banking services to hemp related businesses. However, there have been no updates relating to marijuana, CBD oil and other cannabis derived products or for businesses that indirectly provide services to the cannabis industry. As the number of states with some form of legalized cannabis product grows, the need to align your policy and procedures with your board’s appetite for risk grows. In this session we will provide an overview of a cannabis risk program and demonstrate how to align it with current guidance. Join us as we hear from Robin Guthridge, Director Compliance with Wipfli LLP. There is no cost for this event and registration is limited to the first 250 registrants. CCA members will be given first priority.
Please send any questions you have for our speaker in advance to: Speaker Questions. Please send in your Speaker questions no later than April 21, 2021.
The registration link will take you to CCAs GoToWebinar page to register for the webinar.
Registration has closed for this event.
We ask that you consolidate viewers and if you have to cancel, please let us know as soon as possible.
Speakers and topics may be subject to change.
The session has been approved for 1 CAMS, 2 CRCM and 2 CAFP credits.
This session is not to be recorded electronically without written permission from the Chicagoland Compliance Association and all speakers. materials and opinions shared from the speakers are not necessarily those of the organization they represent and therefore, unless otherwise indicated, should be assumed personal and not indicative of any implied liability or accountability back to the respective organization.
If after registering you do not see the “Thank You” page or you do not receive a confirmation email within two days, then your registration has not been received. Please email the CCA.