About this Event
Course Description
This broker-level course examines how brokerage culture, supervision practices, and
informal training contribute to recurring compliance violations. Emphasis is placed on
broker responsibility, risk mitigation, documentation, and the creation of defensible
systems that protect consumers and the brokerage.
Learning Objectives
1. Identify patterns of behavior within brokerages that lead to recurring violations
2. Explain broker supervision obligations related to training and oversight
3. Apply risk-management frameworks to brokerage systems and policies
4. Analyze complaint scenarios for supervision and documentation failures
5. Evaluate brokerage practices for defensibility and regulatory compliance.
Topics Covered
Peer pressure and office culture, Misrepresentation and omission, Verbal statements and
undocumented promises, Unfair trade practices, Consumer protection,compliance systems
Event Venue & Nearby Stays
Maximum One Executives - Duluth, 3100 Breckinridge Blvd., Duluth, United States
USD 0.00






