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The World of Bank M&A: The Impact of Regulatory Developments

This webinar will provide an overview of the current market for bank mergers and acquisitions, the impacts that regulatory proposals will have on bank deals in the future, and what that means for bank employees.

OnDemand
Recorded Wednesday,
June 26th, 2024
Presented by Josh McNulty
1h 30m total length
$299.00 or 1 Token

Includes: 30 Days OnDemand Playback, Presenter Materials and Handouts

  • Compliance
  • CRA Compliance
  • General Compliance
  • Human Resources
  • Management/Employee Development
  • Risk Management/Legal
  • Technology/Security
  • Transaction Compliance
  • Bank Legal Counsel
  • Bank Secrecy Act Officer/BSA Specialist
  • Board Member
  • Community Reinvestment Act Officer
  • Compliance Officer
  • Credit Analyst
  • Human Resources Officer
  • Senior Management
  • Training Manager
  • Trainer

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Learn all about bank mergers and acquisitions, their timelines, the impact of regulatory proposals, what bank boards and management should consider, and what it all means for bank employees.

What You'll Learn

  • The current market for bank M&A
  • The timeline of a bank merger
  • The recent regulatory proposals and their impacts on bank mergers
  • What bank boards and management should consider with regards to bank M&A
  • What employees should consider with regards to bank M&A

Who Should Attend

Directors, management, and employees of banks and bank holding companies will benefit from this session.


Josh McNulty

Instructor Bio

Josh’s practice focuses on corporate governance, mergers and acquisitions, securities, and regulatory compliance for state and national banks, holding companies, and other financial institutions. Josh counsels state and national banks, holding companies and other financial institutions on state and federal regulatory compliance issues, including all aspects of regulatory matters involving the Federal Deposit Insurance Corporation, the Federal Reserve, the Office of the Comptroller of the Currency, the Texas Department of Banking and the Consumer Financial Protection Bureau. He also advises clients on stockholder matters, shareholder agreements, fiduciary obligations and a broad range of public and private capital market transactions, including initial public offerings and private placements.