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2024 Year-End HMDA Filers Webinar
December 05, 2024
This 2-hour webinar is designed to help Compliance and Lending staff better understand submission requirements.
Together with Carl Pry, we’ll review all the pain points of HMDA, including actions taken and a variety of data points. We’ll also address several questions - What will examiners be looking at it? What are the fair lending issues and risks you need to be aware of after submission? We’ll also discuss the current state of HMDA and get some of your questions answered.
What You Will Learn
- Rules around thresholds and data elements, including legal challenges and what to do if you’re caught in the middle
- Private vs. public data
- Details of the coverage rules – who collects and submits information, and when
- What types of applications are reportable?
- The dwelling-secured loan standard – what does this impact?
- Effects in the commercial loan area
- How to handle HELOCs
- LAR fields, including common errors and pain points
- Categories of reporting, including information on the property, loan type, and loan features; plus identification information
- Reporting GMI
- Changes to the submission process
- Quarterly reporting for some institutions
- How the public obtains HMDA information changes
- Practical and compliance implications
Who Should Attend?
Compliance staff, Loan Underwriters, Mortgage Lenders
Date & Time
Zoom Log In 9:50AM | Program Start 10:00AM | Program Concludes 12:00PM
Early
Standard
Late
$530.00
Agenda
Speakers
Name | Organization | Speaking At |
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Carl Pry
<p><span style="background-color:rgb(255,255,255);color:rgb(88,89,91);font-size:15px;"><span style="-webkit-text-stroke-width:0px;display:inline !important;float:none;font-family:"Open Sans", "Helvetica Neue", Helvetica, Arial, sans-serif;font-style:normal;font-variant-caps:normal;font-variant-ligatures:normal;font-weight:400;letter-spacing:normal;orphans:2;text-align:start;text-decoration-color:initial;text-decoration-style:initial;text-decoration-thickness:initial;text-indent:0px;text-transform:none;white-space:normal;widows:2;word-spacing:0px;">Carl Pry is a Certified Regulatory Compliance Manager (CRCM) and Certified Risk Professional (CRP) who is a Senior Advisor for Asurity Advisors in Washington, DC. Through his more than 30-year working career, as well as through his experience as a banking attorney and officer, he has provided a variety of regulatory compliance and financial performance services to financial institutions and other clients throughout the country. He has written extensively regarding consumer and commercial compliance, tax, audit, and financial institution legal issues, and is a frequent contributor to and currently serves as the Chair of the Editorial Advisory Board for the ABA Bank Compliance magazine. He has spoken at scores of banking, compliance, and state bar associations, and has conducted training sessions for financial institutions across the country.</span></span></p>
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Asurity Advisors | All Sessions |