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Compliance Expectations under the Trump Administration & DOGE

April 17, 2025


Dates

Thursday, April 17, 2025

Time

9:00 AM - 10:30 AM EST

Early Bird Discount Deadline

Thursday, April 17, 2025

Location

Compliance Expectations under the Trump Administration & DOGE Event Image

Program Overview

In this webinar, we’ll address what we do know as well as what we don’t – and try to peer into our crystal ball and determine the best course of action in 2025.

Every four years we go through a potential sea change in regulatory expectations due to the Presidential and Congressional elections. Each time it seems the pendulum swings further to each ideology, and this year is no exception with the Republican sweep of the White House and Congress, which makes it much easier to effect change across the legal and regulatory landscape.

We’ve already seen a number of major changes in the regulatory environment – from new leadership at the agencies to calls to abolish the CFPB altogether. We’re only at the starting line so there is certain to be much more coming.

And that’s to say nothing about the courts, which after the reversal of the Chevron doctrine last year, makes it easier for courts to invalidate rules where they feel the has been regulatory overreach. 

We’ll discuss the current landscape, and try to get a handle on what’s to come.

What You Will Learn

  • Makeup of the Presidency and executive branch,
  • The numerous Executive Orders and Presidential Pronouncements – immediate changes,
  • Congressional change and single-party rule – what do these changes mean for future legislation?
  • Changes in agency leadership and direction – what does that mean for regulations, guidance, and enforcement priorities?
  • Congressional Review Act – what rules might go away?
  • What regulations and guidance might be revoked or modified?
  • New regulations we know are coming in 2025,
  • Expected regulatory priorities – where should you devote your energy?
  • What happens if the CFPB goes away?
  • What should you tell your Board and Executive Management?

Date & Time

April 17th, 2025

8:50AM Zoom Sign In | 9:00AM Webinar Start | 10:30AM Webinar Concludes

Who Should Attend?

Compliance Officers, C-Suit, Senior Management, Directors


Registration Fees

Group Rate Multistream Virtual Registration
Early Standard Late
$695.00
Group rate for multiple streaming connections at a single bank. 
Single Member Virtual Registration
Early Standard Late
$295.00
Single Nonmember Virtual Registration
Early Standard Late
$590.00
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Agenda

Speakers

NameOrganizationSpeaking At
Carl Pry
<p>Carl Pry, a Senior Advisor at Asurity Advisors, is a seasoned executive with banking law, corporate finance, and regulatory compliance experience in Fortune 500 institutions, regional banks and industry consulting firms. Carl advises clients on consumer and commercial compliance, fair lending, operations, risk, corporate treasury, and risk management.</p><p>Over the last thirty years, Carl has held senior leadership positions including Managing Director and Senior Advisor at a boutique regulatory compliance consulting firm, Senior Vice President and Compliance Manager for the Compliance and Control Division at KeyBank, Manager of Finance and Performance Management Service Line at Accenture, and Vice President of Regulatory Services at Kirchman Corporation. With strong knowledge and experience as a banking attorney and officer, Carl is a frequent contributor to and currently serves as the Co-Chair of the Editorial Advisory Board for the ABA Bank Compliance magazine. &nbsp;As a featured speaker for numerous banking, compliance, and state bar associations, he has led hundreds of training sessions across the country. Carl has served as an instructor at FDIC examiner school and back-up instructor for NCUA examiner school. He has authored training programs covering consumer and commercial compliance, Compliance Management Systems, audit, quality control, tax, privacy and risk management. He also serves as a frequent expert witness in litigation matters.</p><p>Carl is a regular columnist for the ABA Bank Compliance magazine. He has authored scores of articles on financial issues and developed testing and support materials for both the ABA’s Certified Regulatory Compliance Manager (CRCM) and BAI’s Anti-Money Laundering Professional (AMLP) certifications, and served as subject matter expert for web-based compliance and audit educational testing programs for banking training firms. &nbsp;He is the author of “Internet Banking Manual”, a comprehensive guide to business planning, risk analysis and maintaining a presence for financial institutions on the Internet. For LexisNexis, he also authored “The New RESPA Rule: Navigating New Disclosures” and “The Evolution of Reg. Z: Increased Duties and Responsibilities for Lenders,” among other publications.</p><p>Carl holds a JD and an MBA from the University of Toledo and a BSBA from Bowling Green State University. He is also a Certified Regulatory Compliance Manager (CRCM) and Certified Risk Professional (CRP).</p>
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