Press release
Quest CE Releases 2014 Firm Element Course Catalog
Quest CE, premier provider of insurance continuing education and FINRA firm element training, announced today the anticipated debut of its 2014 Firm Element Course Catalog.“Quest CE prides itself in being the first continuing education provider to release its annual course catalog to the industry,” said Quest CE Vice President of Sales, Marketing and Client Services Alex Krenke. “Working in the best interests of our clients, we ensure that we are ready when they are to begin outlining their coming year’s program. After all, there is no down-time or slow season when it comes to implementing compliance. It’s a 365 day job that ends December 31st and begins again January 1st.”
This year’s catalog features an actionable index with advanced search capabilities, allowing users to efficiently navigate Quest CE’s robust library of over 450 courses. Organized by corporate training type, department, job function or product, this strategic guidance ensures that users can efficiently establish a suitable training program based on their unique firm-needs. Once a user selects an area or topic or interest from the ‘Quick Guide,’ they are automatically launched to a list of courses that feature correlating curriculum. Here, they are then able to view a course’s detailed account information, including its course summary, difficulty level and estimated time of completion.
“The 2014 catalog is a direct reflection of our online Catalog Builder, which allows users to pre-qualify their individual training needs, simplifying the enrollment process and eliminating redundancies without complicating the course selection process.” said Manager of Business Development, Jennifer Greene.
This year, Quest CE added over a dozen new courses to its Firm Element catalog. Additionally, all previously available courses were audited to ensure content reflected new or changing regulations. Quest CE’s industry experts and copyeditors review each course from start to finish, scrutinizing content, grammar and industry-relevance. Once the courses have been successfully assessed, Quest CE’s in-house content specialists make the necessary updates.
Moreover, through an exclusive partnership with FINRA, Quest CE is one of only two vendors that have access to FINRA’s 2014 Firm Element course library. For more information on FINRA’s course catalog, please email sales at info@questce.com.
Click here to view Quest CE’s 2014 Firm Element Course Catalog.
About Quest CE
For over twenty-five years, Quest CE has been the premier provider of Compliance Education to the financial services industry. In addition to offering Providership Administration and insurance continuing education (CE) for professionals holding insurance licenses and professional designations like the CFP, CPA, CLE, CIMA and CLU/ChFC designations, Quest CE also provides a complete spectrum of FINRA compliance training solutions including annually required Firm Element Training for registered representatives, on-demand Annual Compliance Meetings, Annual Compliance Questionnaires, Needs Analysis Surveys, Outside Business Activity Tracking, Gifts and Entertainment Tracking and Political Contributions Tracking.
Serving more than 630 leading insurance carriers, broker-dealers, banks, and other financial institutions, Quest CE is committed to providing advanced custom solutions at cost effective rates, while providing a level of service that greatly surpasses their competitors. Quest CE is the single source solution for organizations seeking training and compliance needs
Quest CE
Staci Simmons
10850 West Park Place, Suite 1000
Milwaukee, WI 53224
This release was published on openPR.
Permanent link to this press release:
Copy
Please set a link in the press area of your homepage to this press release on openPR. openPR disclaims liability for any content contained in this release.
You can edit or delete your press release Quest CE Releases 2014 Firm Element Course Catalog here
News-ID: 278855 • Views: …
More Releases from Quest CE
Quest CE Unveils Branch Audit Tool Enhancements
MILWAUKEE – January 6, 2020 – Quest CE, premier provider of compliance training and tracking technology solutions, is excited to announce the release of its latest Branch Audit Tool enhancements.
Quest CE’s Branch Audit Tool offers automated internal audit workflows that integrate with other Quest CE services so firms can efficiently manage risk and meet the obligations of their branch locations across the nation. Quest CE is now extending its commitment…
Quest CE Releases Course on NY Regulation 187
MILWAUKEE – May 28, 2019 – Quest CE, premier provider of compliance training and tracking technology solutions, today announced the release of a new course focused on New York’s Amendment to Regulation 187, which significantly expands existing suitability standards involving life insurance and annuity products.
Broker-dealers who sell annuities in the state of New York will need to abide by the New York State Department of Financial Services Best Interest Regulation…
Quest CE Receives ClearCert’s Content Certified Seal of Approval
MILWAUKEE – May 12, 2015 – Quest CE, premier provider of insurance continuing education and FINRA firm element training, today announced that it is now a ClearCert Certified Training Provider, further enhancing its reputation as a trusted partner in the continuing education market.
ClearCert is a third-party information clearinghouse that validates content across statewide Long-Term Care Insurance and Annuity Suitability training courses to ensure content quality and consistency across the industry.…
More Releases for FINRA
Capital Market Solutions Empowers Financial Firms with Scalable, Automated FINRA …
As the financial regulatory landscape accelerates into 2025, Capital Market Solutions (CMS) announces its powerful Regulatory Surveillance and Management System (RSMS)-designed to help financial firms adapt swiftly and confidently to evolving FINRA mandates around CAT and CAIS reporting, exception management, and adherence to Written Supervisory Procedures (WSPs).
Compliance Challenges Demand Smarter Solutions
Financial institutions navigating 2024's escalating regulatory demands are finding that manual workflows and legacy systems are no longer up…
Capital Market Solutions Enhances FINRA CAT Compliance with RSMS's Innovative Co …
June 30, 2025 - New York, NY - Capital Market Solutions (CMS), a leading RegTech provider, has unveiled a powerful new enhancement to its Regulatory Surveillance and Management System (RSMS), focused on transforming how broker-dealers approach Consolidated Audit Trail (CAT) Compliance. The feature, highlighted in CMS's latest blog, introduces a streamlined method for comparative reviews, helping firms identify, correct, and prevent reporting mismatches with unprecedented ease.
🔗 Read the full article:https://capmarketsolutions.com/streamlining-cat-reporting-rsmss-new-approach-to-comparative-reviews/
A…
Why FINRA CAT Compliance Is Critical in Today's Regulatory Environment
In the fast-evolving landscape of U.S. financial markets, transparency and surveillance are no longer optional-they are mandatory. The Consolidated Audit Trail (CAT), introduced under the directive of the Financial Industry Regulatory Authority (FINRA) and the U.S. Securities and Exchange Commission (SEC), has fundamentally transformed how market activity is monitored, reported, and enforced.
With compliance deadlines tightening and enforcement actions increasing, financial firms must view FINRA CAT not as a checkbox, but…
GoldMany.org Secures Strategic Cooperation with FINRA for Digital Gold Complianc …
Image: https://www.getnews.info/uploads/849573cbcc778d4113b9d315efe8e7e9.jpg
GoldMany.org, a leading digital gold trading platform, has forged a significant partnership with the Financial Industry Regulatory Authority (FINRA) in the United States, aimed at enhancing compliance standards in the burgeoning digital gold market. This strategic cooperation marks a pivotal step towards fostering transparency and regulatory adherence within the digital asset investment sector.
Upholding Regulatory Standards
The collaboration between GoldMany.org and FINRA underscores a shared commitment to maintaining robust regulatory frameworks…
American Investment Trust Services: FINRA Claim
The White Law Group Files a Claim against American Trust Investment Services
The White Law Group announces the filing of a FINRA arbitration claim against American Trust Investment Services for investment losses involving high risk TIC/DST investments.
The firm submitted a claim to FINRA Dispute Resolution on behalf of a group of investors alleging claims for violation of common law fraud, breach of fiduciary duty, negligence, and…
Quest CE to Attend 2012 Annual FINRA Conference
MILWAUKEE – May 18, 2012 – Quest CE, premier provider of insurance continuing education and FINRA firm element training, is excited to announce its attendance at FINRA’s 2012 Annual Conference in Washington, D.C., May 21 - 23. FINRA’s Annual Conference provides compliance professionals, securities attorneys and other industry professionals the opportunity to discuss regulatory and compliance solutions with financial services experts, regulatory specialists and policymakers alike.
This year, FINRA plans…