Windsor, CT, October 1, 2007 — LIMRA International and CFM Partners today announced the formation of a new strategic alliance to provide online compliance solutions to LIMRA members.
WINDSOR, Conn., Aug. 21, 2008 — LIMRA announced today that Lawrence J. Niland has joined the organization’s Compliance and Regulatory Services Division, working with broker-dealer firms to identify solutions for their compliance and regulatory needs.
LIMRA and CFM Partners Launch Canadian Anti-Money Laundering and Anti-Terrorist Financing Training Program
WASHINGTON, D.C. and WINDSOR, Conn., Dec. 4, 2008 – LIMRA and CFM Partners today launched a bilingual training program to meet the recent requirements for Canadian life insurance agents to receive ongoing Anti-Money Laundering and Anti-Terrorist Financing training.
WINDSOR, Conn., Feb. 3, 2014 — Former White House Chief Information Officer Theresa Payton will deliver the keynote address at the LIMRA LOMA Regulatory Compliance Exchange in New Orleans, La. on March 26-28.
WINDSOR, Conn. and WASHINGTON, Feb. 18, 2008 — LIMRA International has teamed with CFM Partners to offer LIMRA members a unique Web-based program to educate producers and supervisors on critical aspects of deferred variable annuities.
The course, Recognizing Financial Exploitation, satisfies expanding state and federal regulatory requirements to detect and report financial exploitation.
19th Annual LIMRA/LOMA Strategic Issues Conference in Beijing, April 6-8, 2011.
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