Regulatory Compliance Training
RCA’s PracticEdge™ Platform serves as the regulatory compliance training resource for several Regulatory and Governmental Agencies, the top Alternative Investment and Asset Management Firms, Financial Institutions, Law Firms and CPA Organizations.
PracticEdge provides educational services including on-line Classes, Courses, Symposia, Summits and Advanced Degree Programs in the fields of
securities, investment advice, investment management, futures, commodities, derivatives, banking and financial institutions.
PracticEdge instruction and courses are provided by Faculty from top Asset Management Firms, Securities Attorneys, Professional Organizations,
Government Officials and Financial Institutions. PracticEdge also hosts complimentary weekly webinars on the latest topics of interest in the financial sector.
Course materials are distributed via the College of Regulatory Compliance Learning Management System and through emails distributed to RCA PracticEdge members.
Over 30,000 executives use PracticEdge™ to obtain accredited, comprehensive and practical guidance for over 4500 topics within alternative investment and asset management regulation, compliance, examination readiness, enforcement, operational process, due diligence, fund governance, risk management, accounting and taxation.
Investment Management Compliance and Financial Services Compliance Executives use PracticEdge™ for CPE, CLE and Continuing Compliance Education™ (CCE™).
PracticEdge™ is a must for drafting and maintaining:
- Hedge Fund Compliance Manuals
- Private Equity Compliance Manuals
- Investment Company Compliance Manuals
- RIA Compliance Manuals
Graduates of the Law & Masters Concentration in Compliance & Regulation and industry executives holding the RCA’s Certified Regulatory Counsel™ (CRC™) designation use the PracticEdge™ Series for Continuing Compliance Education (CCE™).
For more information, contact a curriculum advisor today.