Mar 23, 2026
Flood insurance compliance looks straightforward – until your next exam tells a different story.
From determinations, monitoring, and contents coverage to private policies, force-placement, and escrow, lenders are tripping over the same “simple” rules and racking up costly violations year after year. This webinar will break down the most common problem areas examiners are targeting right now and show you how to spot, fix, and prevent flood mistakes before they turn into findings and fines.
March 23, 2026
11:00 am - 12:30 pm EST
Compliance with the flood insurance regulations should be easy – determine where the structure is (assuming it’s insurable), and if it's in a high-risk flood zone, require insurance. Simple, right? Why then are there so many violations and penalties? The answer, of course, is that this seemingly simple issue has many complexities. The rules have been around since 1996, yet examiners continue to cite numerous violations and fines. There are many significant issues out there, and it’s easy to run afoul of the requirements. In this webinar, we'll concentrate on them, including determinations, monitoring, contents coverage, private policies, amount of coverage, force-placement, and escrow requirements, among others. We’ll devote special attention to those issues that typically cause lenders problems, as well as those that are the focus of many a regulatory violation and fine.
KEY WEBINAR TAKEAWAYS:
Carl Pry
Carl Pry is a senior advisor at Asurity Advisors and the founder of PryHart Compliance Services, Inc. He holds a JD and an MBA from the University of Toledo and a BSBA from Bowling Green State University. He is a seasoned executive with banking law, corporate finance, and regulatory compliance experience in Fortune 500 institutions, regional banks, and industry consulting firms. Over the last 35 years, Carl has held senior leadership positions at Treliant LLC, KeyBank, Accenture, and the Kirchman Corporation. He is a frequent contributor to and currently serves as co-chair of the Editorial Advisory Board for the ABA Risk and Compliance Magazine. He has served as an instructor at FDIC examiner school and as a back-up instructor at NCUA examiner school. He has authored training programs covering consumer and commercial compliance, audit, quality control, tax, privacy, and risk management, among others.
WHO SHOULD ATTEND?
Live Webinar - $279
On-Demand Webinar - $279
Live + On-Demand - $379
Get the best of both and save when you Bundle the Live & On-Demand Webinar registration! This option includes all the items listed above.
**100% surcharge applied to non-members.
| Susan Clark | Silvia Regalado | |
| Professional Development Coordinator | Professional Development Coordinator | |
| o: 317-387-9380 | o: 317-387-9380 | |
| d: 317-333-7169 | d: 317-333-7170 | |
| sclark@indiana.bank | sregalado@indiana.bank |