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The Impact of Evolving Marijuana Laws on Your Institution

Feb 02 2:00 PM - Feb 02, 2022 3:30 PM
Feb 02, 2022 2:00 PM - 3:30 PM
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Are you up to date with federal and state laws and regulations related to the cannabis industry and marijuana-related businesses? The conditions are ripe for the rapid expansion of this once-invisible industry. Learn more with this lively webinar.

Learning Objectives

  • Evaluate the current legal landscape of state and federal laws
  • Understand the potential impact of marijuana laws on multiple operational areas
  • Prepare a marijuana-related business due diligence plan
  • Determine the proper alignment of policies and procedures
  • Assess the benefit of third-party industry expertise
  • Appreciate cannabis-related business best practices

Marijuana related businesses (MRB) are growing exponentially – as are the imaginations of entrepreneurs and competitors nationwide. The increasing acceptance of marijuana and cannabis-related products, combined with flexibility within state legal systems, make it essential to understand the myriad impacts this changing landscape can have on nearly every element of operations. From lending to deposit accounts to human resources to BSA, financial institutions must understand the landmines and embrace the opportunities presented by this growing industry. Whether you are actively engaged with MRBs or just looking for new growth opportunities, this informative webinar will provide much-needed answers. Join us for a timely overview of the current cannabis industry as it relates to financial services.



David A. Reed, JD, Reed & Jolly, PLLC

Attorney, author, consultant, and nationally recognized speaker, David Reed is a partner in the law firm of Reed & Jolly, PLLC. He provides guidance to financial institutions on establishment and revision of policies and procedures, organizational compliance, collections, security, contractual agreements, regulatory matters, and corporate governance. His engaging speaking style has made him a nationwide lecturer on regulatory compliance, consumer lending, bankruptcy, and collections.

A former trial attorney and vice president and general counsel of a large regional financial institution, David is also a Certified Fraud Examiner. He is particularly known as an expert in the areas of operations, bankruptcy, and collections. He has trained state and federal examination staff on numerous issues, including BSA, ID theft red flags, SAFE Act, third party contract management, and bankruptcy. 




Additional Info

Event Type

On-Demand Webinar

Topics Covered

  • On-Demand Webinars
  • Compliance