This professional-level course introduces users to the elements of effective trade compliance programs and why they are critical to ensuring their company’s compliance with applicable regulations such as the EAR and ITAR. The training outlines how to identify and investigate potential violations, as well as the regulatory requirements for notifying the U.S. government when violations occur. The course also addresses the consequences of noncompliance and the different types of compliance and enforcement actions available to the U.S. government. Finally, this course provides best practices for trade compliance programs. Personalize the Content Enablers Trade Compliance Programs course with company-specific policies, procedures, and other resources using the CE Curator.
Users will receive a certificate of completion from George Mason University upon successful completion of this course.
Learning Objectives
This course is designed to enable users to recognize the key factors that they may need to consider in developing, implementing, and managing their company’s trade compliance program. The objectives are satisfied when they can:
Trade-Specific Objectives
Understand the elements that should be addressed in their company’s trade compliance program;
Understand the regulatory and organizational requirements for disclosing potential violations to the U.S. government;
Recognize the need to investigate potential violations and document the decision-making process for disclosing;
Recognize when a company’s trade compliance program requires review and updating; and
Know that maintaining records associated with a potential violation is critical to successful compliance.
Role-Specific Objectives
Understand that they may be responsible for investigating and disclosing potential violations to the U.S. government;
Employ best practices to support the company’s trade compliance program;
Recognize that they may be responsible for providing guidance and training on trade compliance;
Realize that they may be responsible for reviewing and updating their company’s trade compliance program due to business or regulatory changes; and
Know that they may be responsible for ensuring the appropriate recordkeeping related to potential violations.
Target Audience
Personnel responsible for the development or implementation of an organization's trade compliance program.
Course Duration: 24 minutes
Certificate of Completion:George Mason University
Course Outline
Overview
Elements of a Trade Compliance Program
Overarching Trade Compliance Policy
Identification of Roles and Responsibilities
Work Instructions or Procedures
Topics to be Addressed in a Trade Compliance Program
U.S. Government Expectations
Industry/Peer Standards
Identifying and Disclosing Potential Violations
What constitutes a violation?
Consequences of non-compliance
Notification of potential violations within your company
Notification of potential violations to the U.S. Government
DDTC
BIS
Justice
SEC
Managing Disclosures
Identifying when a disclosure should be made
Documenting Decision-making Process
Tracking Implementation of Corrective Actions
Compliance and Enforcement Actions
Directed Audits
Debarment/Ineligibility
Consent Agreements
Industry/Peer Best Practices for Trade Compliance Programs
Marking
Screening & Vetting
Managing U.S. and Foreign Visitors
Conducting Program Audits and Investigations
Training Summary
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