RIBO Category: Management
Insurance Council of Saskatchewan Approved Ethics Course
Insurance brokers are fiduciaries that are responsible for handling other people's money. To avoid any E&O, brokers should be familiar with Anti-Money Laundering and FINTRAC legislation.
Students must pass the final exam before a certificate will be issued.
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Douglas started in the insurance industry in 1974 working in claims, commercial lines, and marketing before landing as President of CHES Special Risks Inc. In 1979, he received his CIP Designation and became an Associate of the Insurance Institute of Canada (IIC).
In 1985, he became an Approved Instructor for the Insurance Institute of Canada. Since then, he’s run seminars and CE courses for brokers all over the world including helping to create several certification programs for insurance brokers and MGA's. Doug also has work published in Canadian Underwriter Magazine: Terrorist Acts Insurance (2015) & Faulty Workmanship (2016).
At PNC Learning, Doug shares his expertise with students by creating CE courses covering critical broker skills and all of the latest and most important topics impacting our industry today.
$149.00 / year
$149.00 / yearGeneral Insurance Continuing Education (CE Credit) Bundle