top of page
  • Facebook
  • Twitter
  • Linkedin

Master the Fundamentals of Entity Level Controls for Insurance Industry Compliance

 

The Insurance Industry Entity Level Controls – In-Person CPE Training Event is a targeted program designed to equip professionals with the skills and knowledge to establish effective entity level controls (ELCs) in line with SOX compliance, NAIC Model Laws, and corporate governance requirements. This comprehensive session focuses on navigating regulatory standards, improving risk management, and maintaining financial reporting excellence in the insurance industry while offering 4 CPE credits to advance your career.

 

Why Attend?

  • Earn 4 CPE Credits - Stay ahead professionally by earning credits while mastering entity level controls specific to the insurance sector.

  • Navigate SOX and NAIC Compliance - Gain detailed insights into regulatory requirements and best practices for developing and maintaining compliance-ready ELCs.

  • Strengthen Risk Mitigation Efforts - Learn to design and implement controls that minimize compliance risks and address core business objectives.

  • Hands-On Expertise - Participate in practical case studies and exercises led by industry professionals to apply direct solutions to real-world scenarios.

 

What You’ll Learn

This course offers step-by-step guidance on creating, implementing, and assessing entity level controls, ensuring alignment with regulatory frameworks while supporting operational objectives.

 

You’ll learn to:

  • Comprehend ELC Requirements - Understand the role of ELCs in SOX and NAIC Model Law compliance for governance and fraud prevention.

  • Assess Current ELC Frameworks - Identify gaps in your company’s controls and evaluate existing processes for effectiveness.

  • Plan and Implement Controls - Build actionable strategies to establish compliance-ready ELCs, including necessary system and procedural changes.

  • Test and Monitor Controls - Create a control self-assessment program to test ELC performance and ensure adherence to regulations.

  • Document and Report - Maintain detailed records of assessments, implementations, and ongoing updates to meet audit and compliance demands.

  • Apply Best Practices - Leverage industry-leading strategies to maintain effective ELCs and respond proactively to regulatory changes.

 

Training Highlights

Gain a 360-degree understanding of ELCs in the insurance industry through a professional and interactive learning environment. Key features of this training include:

  • Regulation-Focused Curriculum - Explore the specific ELC requirements under SOX and NAIC corporate governance standards.

  • Practical Exercises - Use hands-on learning opportunities to assess, design, and evaluate ELC frameworks in real-life scenarios.

  • Expert-Led Sessions - Engage with professionals who bring critical real-world experience in risk, compliance, and auditing.

  • Tailored for Industry Professionals - Designed specifically for internal auditors, control professionals, and compliance officers in the insurance sector.

 

Key Agenda Topics

This robust training program includes an in-depth exploration of the following topics to ensure comprehensive knowledge and application of ELCs within an insurance framework:

  • Foundations of Entity Level Controls - Introduction to the purpose and necessity of effective ELCs.

  • Regulatory Requirements Overview - Detailed review of SOX compliance and NAIC Model Laws for corporate governance.

  • Assessing Current Controls - Learn techniques for identifying gaps and evaluating your organization's existing control systems.

  • Planning and Implementation - Explore practical methods for developing and implementing new ELCs to align with audit requirements.

  • Testing and Monitoring - Establish and manage self-assessment programs to regularly test controls for operational efficiency.

  • Documentation and Reporting - Create comprehensive records and generate actionable reports for management and audit committees.

  • Best Practices and Continuous Monitoring - Learn how to maintain effective ELCs through ongoing updates and compliance strategies.

  • Key Challenges and Solutions - Discuss common issues in ELC management and how to effectively address them in the insurance industry.

 

Event Details

  • Format: Live, in-person training hosted by experienced professionals.
  • Schedule:
    • Monday Afternoon (1:30 p.m. – 5 p.m.)
  • CPE Credits: 4 hours of NASBA-approved credits upon completion.
  • Cost: $395 per attendee.
  • Location: Offered in major cities nationwide.
  • Prerequisites: Participants should have basic knowledge of internal control frameworks.

 

Who Should Attend?

This training is ideal for professionals responsible for internal controls, compliance, and entity-wide risk management strategies in the insurance sector, including:

  • Internal Auditors focusing on compliance and risk mitigation.
  • Finance and Accounting Professionals aiming to align reporting practices with regulatory requirements.
  • Compliance Officers tasked with implementing and maintaining corporate governance standards.
  • Risk Management Professionals working to enhance organizational controls.

 

Why Master ELCs?

Establishing and maintaining effective entity level controls is essential in today’s regulatory landscape. Proper ELCs not only ensure SOX and NAIC compliance but also protect organizations from financial misstatements, operational disruptions, and reputational risks. This training gives you the tools to confidently manage compliance requirements and contribute to your organization’s long-term stability.

 

Register Today

Don’t miss this opportunity to gain actionable insights into entity level controls for the insurance industry. Earn 4 CPE credits while strengthening your skills in assessing, developing, and maintaining compliance-ready controls.

 

Register now to join the Insurance Industry Entity Level Controls – In-Person CPE Training Event and elevate your professional capabilities in risk and compliance management!

Insurance Industry Entity Level Controls - In-Person

$395.00Price
0/20
0/20
Quantity
  • The sessions will be as follows:

    Monday – 1:30 p.m. to 5:00 p.m.

    Offered in-person in various cities

     

In the event you haven't seen an email from johnb@cseminars.com confirming your registration in your inbox, there's a chance it might have taken a little detour into your spam, junk, or quarantine folder. If you could take a moment to peek in there and kindly mark it as "not spam" or “not junk,” that would be fantastic. On the off chance that your firewall is being a bit overprotective and preventing the email from even reaching your spam folder, please don’t hesitate to give me a ring at 479-200-4373. I’m here to ensure everything’s set straight for you.

Contact Us

Please white list the email address johnb@cseminars.com to allow for CCS emails to reach you effectively.

Thanks for submitting!

Corporate Compliance Seminars is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.

In accordance with the standards of the National Registry of CPE Sponsors, CPE credits are granted based on a 50-minute hour.

National Registry of CPE Sponsors ID #108983

Complaints may also be forwarded to the company principals, David S. Marshall (708-205-2366davem@cseminars.com) and/ or John Blackshire (479-200-4373johnb@cseminars.com)

 

At CCS, we are deeply dedicated to delivering NASBA-sponsored Continuing Professional Education (CPE) training events focusing on vital subjects such as risk management, audit & assurance, internal controls, internal audit, cybersecurity, and compliance. Our educational content is meticulously crafted to be accessible through live webinars and in-person CPE events, custom-tailored to meet the CPE requirements of certifications including CIA, CPA, CISA, CFE, and other professional certifications.

We take immense pride in our pivotal role over the past twenty years of empowering participants to expand their audit expertise and develop a deep understanding of best-practice frameworks and standards established by eminent organizations such as IIA, AICPA, COSO Framework, PCAOB Auditing Standards, NAIC Model Laws, GAO Green Book, GAO Yellow Book, NIST, ISO, CMMC, ACFE, SEC, and IAASB.

Our comprehensive CPE training events provide invaluable insights across a diverse spectrum of topics, encompassing internal auditing, external audits, planning and execution of audits using the PCAOB Auditing Standards, formulation and implementation of effective internal audits, risk identification and evaluation, adherence to accounting and auditing standards, proficient management of business endeavors and projects, ITGCs and application controls, vigilant oversight of vendor and third-party risks, robust cybersecurity initiatives, and the reporting of audit, risk management, and internal control training courses.

Furthermore, we offer our professional attendees the opportunity to engage with our webinar CPE events virtually, featuring live instructors, or to participate in-person at select cities or a location of their choice.

We consider our target audience to include chief audit executives, audit partners in CPA firms, chief compliance officers, audit managers, audit supervisors, external auditors, internal auditors, internal control professionals, quality control professionals, compliance professionals, board members, and other professionals who prioritize continuous improvement and organizational sustainability.

Our CPE events are all based on the professional standards provided by the IIA, AICPA, PCAOB Auditing Standards, SEC, ISACA, ACFE, NAIC regulations, NIST, ISO, CMMC, COSO Framework, GAO Yellow Book, GAO Green Book, U.S. GAAP, IFRS, and IAASB.

The CCS training staff has a broad range of experience in internal auditing, Big 4 auditing, software development and implementation, Big 4 consulting, governmental accounting and auditing, regulatory compliance and professional training.

Our flexibility in delivering content allows us to cater to the diverse needs of our professional audit function, internal control professional and information technology participants, ensuring a truly enriching learning experience for all.

Explore our CPE event offerings and sign up for your first CPE training event today!

bottom of page