What You'll Learn
Internal fraud remains one of the most significant and often overlooked threats facing financial institutions today. Unlike external attacks, internal fraud is committed by individuals who already have trusted access to systems, processes, and sensitive information. This makes detection more difficult and the potential damage more severe. The question is: how prepared is your institution to identify and respond to these risks? Whether you are new to fraud prevention or looking to refine your current practices, this course provides practical, real-world insights you can immediately apply. Participants will gain a comprehensive overview of internal fraud schemes, including how they are typically carried out and why they often go undetected for extended periods. You will learn to recognize behavioral and transactional red flags, as well as understand the motivations and methods used by internal perpetrators. In addition, the course will address one of the most critical decisions organizations face: should you conduct an internal investigation or engage a Certified Fraud Investigator? You’ll learn the advantages and limitations of each approach, helping you make informed decisions based on the complexity and risk level of the situation. The topic also walks through the essential steps involved in investigating internal fraud. From initial detection to documentation and resolution, you’ll gain a clear framework for conducting effective and compliant investigations while minimizing disruption to your organization.
Topics covered in this course
- Deciding when to investigate internally vs. hiring a Certified Fraud Investigator
- Step-by-step guidance for conducting internal fraud investigations
- Best practices for documentation and risk mitigation
Who Should Attend
- Security Officers
- Fraud Investigators and Fraud Prevention Specialists
- Compliance Officers and Risk Managers
- Internal Auditors
- Bank and Credit Union Managers
- Operations and Branch Managers
- BSA/AML Professionals
- Human Resources professionals involved in investigations
Accreditations
Noggin Guru, Inc. dba Lorman Education Services and BankersHub is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.
For more information regarding administrative policies such as complaint and refund, please contact our offices at 866-352-9539.
Please note: You must attend at least 50 minutes to obtain credit. Final CPE approval belongs with each state's regulatory board. Credit is based on a 50-minute credit hour.
For more detailed information about the course, including the outline, content, and objectives, please refer to the 'Description' tab on this webpage.
Field Of Study: Specialized Knowledge
Prerequisite: Basic knowledge of the banking industry, business, or law
Level of Knowledge: Intermediate
Advanced Preparation: None
Delivery Method: Group Internet Based
Requesting CE:
Upon completion of this course, please email
creditrequest@nogginguru.com
to obtain a CE certificate.
About the Author:
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