Wednesday, May 20, 2026 12:00 PM - 1:00 PM Eastern Standard Time
Event Description
Members:$400.00
Non-Members:$400.00
2026 Internal Audit Seminar Series:Beyond Assurance: Expanding Internal Audit’s Influence and Organizational Impact
Date & Time:May 20, 2026, 1:00 p.m. - 2:00 p.m. ET
This session explores how Internal Audit can expand its value proposition through insight generation, advisory engagement, and stakeholder communication. Participants will assess practical methods for increasing IA’s visibility, relevance, and influence across the enterprise.
Learning Objectives:Participants will be able to:• Identify enhancements to audit approaches that strengthen influence, insight, and organizational impact.• Evaluate current and emerging practices used by leading audit functions to remain relevant to stakeholders.• Compare communication approaches for status reporting, escalation, and delivery of impactful messages to leadership and Boards.
Monday, June 08, 2026 - Thursday, June 11, 2026 Eastern Standard Time
Members:$975.00
Non-Members:$975.00
For the past 20 years, the ProSight annual GCOR conference has helped practitioners identify and manage key and emerging risks as institutions adapt business models, transform technology and operating processes, increase reliance on third parties and respond to increasing cyber threats, while facing increased customer expectations and an evolving regulatory landscape. Where the only constants are the volume and velocity of change, GCOR — the ProSight annual Governance, Compliance, and Operational Resiliency conference — stands out as the only event of its kind developed by the industry for the industry.
For inquiries into our all-access institutional pricing, contact your Relationship Manager
Wednesday, June 24, 2026 12:00 PM - 1:00 PM Eastern Standard Time
2026 Internal Audit Seminar Series:Wealth Management & Fiduciary Risk: Audit Considerations for Evolving Topics and Risk
Date & Time:June 24, 2026, 12:00 p.m. - 1:00 p.m. ET
This session focuses on emerging Wealth Management and fiduciary risks, including suitability, conflicts of interest, operational controls, and regulatory developments. Internal Audit coverage expectations and multi-line-of-defense roles will be discussed in the context of evolving client, product, and platform demands.
Learning Objectives:Participants will be able to:• Identify emerging and ongoing regulatory requirements impacting Wealth Management and fiduciary activities.• Assess Internal Audit’s role in evaluating governance, suitability, and operational controls related to fiduciary services.• Compare differing audit approaches for coverage of Wealth Management and fiduciary risk areas.