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Quarterly Legal and Regulatory Update Series
May 13, 2026 - January 06, 2027
Program Overview
Stay ahead of change with our NEW Quarterly Legal and Regulatory Update Series created specifically for MBA members. Each session delivers timely, action-oriented insights on the most pressing legal, regulatory, and supervisory developments impacting financial institutions today.
The Association has partnered with Daniel Hartman, Esq., Of Counsel at Nutter, McClennen & Fish, LLP, to provide expert analysis with practical takeaways to help banks anticipate risk, respond with confidence, and make informed strategic decisions. Designed for executives, compliance professionals, and in-house counsel, these quarterly updates offer an efficient and valuable way to remain informed in an increasingly complex regulatory environment and are delivered virtually via Zoom.
Session Information
May 13 - Spring 2026 Legal and Regulatory Update: Appealing Material Supervisory Determinations with your Prudential Regulator
On January 22nd, the Federal Deposit Insurance Corporation (“FDIC”) adopted revised guidelines for appeals of material supervisory determinations to replace the previous Supervision Appeals Review Committee with and independent, standalone office to consider and decide supervisory appeals. On February 17th, the Office of the Comptroller of the Currency (“OCC”) issued a notice of proposed rulemaking for revised procedures and policies for supervised institutions to appeal material supervisory determinations by the OCC, focused on increased independence and efficiency for the process. During this webinar, learn about the new OCC proposal the new FDIC process, and how they compare with the Federal Reserve’s existing process.
July 15 - Summer 2026 Legal and Regulatory Update
Details Coming Soon!
October TBD - Fall 2026 Legal and Regulatory Update
Details Coming Soon!
January 6 - Winter 2026/2027 Legal and Regulatory Update
Details Coming Soon!
Dates & Times
May 13 • July 15 • October 7 • January 6
9:50AM Zoom Sign In | 10:00AM Webinar Start | 11:00AM Webinar Concludes
Who Should Attend?
Compliance Officers & Staff, Lending Officers, Small Business Lenders
Questions? Check out our FAQs or contact registrations@massbankers.org
Agenda
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October 7 Session Registration
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$590.00 | |
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January 6 Session Registration
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$590.00 | |
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May 13 Session Registration
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$590.00 | |
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July 15 Session Registration
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$590.00 |
Speakers
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Daniel Hartman
<p>Dan Hartman is an of counsel in Nutter’s Corporate Department and a member of the firm’s Banking and Financial Services group, where he focuses on representing banks, bank holding companies, and other financial institutions in regulatory, transactional, supervisory, and enforcement matters. Dan relies on his experience as counsel at the Federal Reserve Bank of Boston where he advised on matters involving bank mergers and bank and holding company activities, formal and informal supervisory enforcement actions and appeals, discount window access and emergency lending programs, and Federal Reserve master account requests. While at the Fed, Dan also represented the Reserve Bank in multiple investigations and audits, including before Congress, various inspectors general including the Special Inspector General for Pandemic Recovery (SIGPR), the Securities and Exchange Commission (SEC), and the Department of Justice (DOJ), in addition to internal investigations.</p>
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Nutter, McClennen and Fish, LLP | - |