GDPR - How to Protect your Organization

Justin Muscolino 
Instructor: Justin Muscolino 
Date: Monday January 27, 2025
Time:

09:00 AM PST | 12:00 PM EST

Duration: 60 Minutes
Webinar Id: 23626

Price Details

Live Webinar
$150. One Attendee
$290. Unlimited Attendees
Recorded Webinar
$190. One Attendee
$390. Unlimited Attendees
Combo Offers   (Live + Recorded)
$289 $340   One Attendee
$599 $680   Unlimited Attendees

Unlimited Attendees: Any number of participants

Recorded Version: Unlimited viewing for 6 months (Access information will be emailed 24 hours after the completion of live webinar)

Overview:

Data protection and privacy is an important issue this day and age for the public.

People want to make sure they are protected. With the rules & regulations for organizations becoming stricter as we move forward, this will help confidence with the public. GDPR will provide people with more control over their privacy and personal data. It's essential to understand the various aspects and conditions, as well as the implications of wrongdoing for organizations. This webinar will focus on the core basics and then we will have a thorough discussion on protecting your institution.

Why you should Attend:

During this webinar, we will go over the background and history of GDPR, how to stay compliance, legal ramifications and best practices.

Areas Covered in the Session:

  • Current regulatory environment
  • What led to increased Data Protection and privacy laws
  • What is GDPR?
  • Protecting your institution
  • The future of data protection and privacy

Who Will Benefit:

  • Anyone in Legal
  • Compliance
  • Dealing with Privacy

Speaker Profile
Justin Muscolino brings over 20 years of wide-arranging experience in compliance, training and regulations. He has previously worked in the Head of Compliance Training function for Macquarie Group, UBS, JPMorgan Chase, Bank of China, and GRC Solutions. Justin also runs his own Compliance Training company focusing on US & International regulations.

Justin also worked for FINRA, a US regulator, where he created Examiner University to train examiners on how to perform their function. He also serves as an advisor for the Global Compliance Institute (GCI) and instructs at the Barret School of Business and various compliance training providers.

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