IT risks and cyberthreats are significant challenges faced by financial institutions—and they’re becoming more prevalent than ever. Join us for an on-demand webcast in which we’ll review how these issues affect business initiatives, impact financial institutions as a whole, and how companies can alter their IT strategy to help mitigate cyber-risk.
RegisterWeston has provided financial compliance, internal control, and risk management services since 1996. His risk management services include internal audits, Sarbanes-Oxley compliance, process and control analysis, IT compliance and strategy, IT governance, ERP solutions, and anti-bribery. Weston has a broad-based collaborative approach to risk management, working closely with stakeholders to understand business and compliance risks while developing strategies to improve, remediate, and monitor compliance and risk management efforts. He has helped companies develop appropriate strategies to address regulatory rules and compliance with the Public Company Accounting Oversight Board (PCAOB), Control Objectives for Information and Related Technology (COBIT), Foreign Corrupt Practice Act (FCPA), and the SEC Sarbanes-Oxley Act.
Chris has been providing compliance consulting and internal audit services since 2003. He performs and leads audit and compliance consulting engagements with a focus on the Bank Secrecy Act (BSA), IT controls, information security, and Automated Clearing House (ACH). Chris assists clients with the development of regulatory compliance controls, information security programs, and internal audit programs. He also helps financial institutions evaluate and select new banking platforms, including Internet banking, cash management, and remote deposit capture systems.
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