Risk Management for Brokers 3pm – 6pm
3pm – 6pm 3 Hours of Continuing Education Credit Fulfills level two requirement (broker or salesperson) You, the broker, are the key to managing risks in your office, branch, or company. If you are the qualifying broker, the burden is even greater in practicing risk management. This course consists of two major sections – Managing Money and Managing People. Managing Money has two parts – Trust Funds and Auditing Procedures. Managing People deals with the training and supervision of the licensees under you. Even though some of the material does not directly refer to specific risk management issues, it is the opinion of the Alabama Real Estate Commission that a higher level of professionalism demonstrated by all licensees in a company is a significant solution to risk management problems. You are the key to raising and maintaining that higher level of expertise. This course is for you. Aug. Classes: SOLD OUT Sept. Classes: SOLD OUT