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Compliance 360 will be hosting a series of free educational webinars. Please register below to attend. NOTE: All registrations close one hour prior to the start time.

Upcoming Webinars


Global Compliance: China's Anti-Trust Laws | A Practical Guide
Date: Thursday, July 30, 2015

Two Midnight Rule: Updates and Lessons Learned | Plus Probe & Educate
Date: Monday, August 10, 2015

On-Demand Webinars

NOTE: We are currently in the process of converting some of the replay links below. If you are unable to access the replay using the Request Recording link below, please send an email and the replay will be forwarded directly to you.

Compliance & Ethics Programs: Leveraging Cloud-based Technology for Regulatory Change Mgmt
Date: Wednesday, June 24, 2015

Creating Behavioral Changes Within Your Compliance Program
Date: Tuesday, May 12, 2015

Medical Claims Audits and Denials: Top Things to Know to Get Your Claims Paid!
Date: Tuesday, April 14, 2015

Shades of Gray: Conquering Complexity and Uncertainty in the World of Compliance & Risk
Date: Tuesday, April 23, 2015

CFPB’s Enforcement Push on Mortgage Advertising Regulations
Date: Thursday, April 23, 2015

What's the Rap on UDAAP?
Date: Tuesday, March 24, 2015

Developing Policies and Documents for a More Effective Compliance Program (Healthcare focused)
Date: Thursday, March 19, 2015

Corporate Governance, Enterprise Risk Management And the Expanded Role of the Compliance Officer in the Board Room
Date: Tuesday, March 10, 2015

Holding Everyone Accountable for Their Part in the GRC Process
Date: Thursday, February 12, 2015

RESPA Section 8 Enforcement Trends: The CFPB sets its sights on Marketing Services Agreements
Date: Wednesday, February 4, 2015

Social Media and Advertising Quality Control
Date: Thursday, January 22, 2015

Addressing Two Midnight Rule Documentation Challenges: Plus! Findings from MAC Probe & Educate
Date: Tuesday, January 20, 2015

E.H.R. Management: Mitigating Risks When Using Scribes
Date: Thursday, January 15, 2015

OIG Workplan: Prioirities for 2015 (sponsored by GA HFMA)
Date: Wednesday, December 10, 2014

Corporate Governance Disclosure; NAIC Updates and New Rules
Date: Tuesday, December 2, 2014

Using GRC Technology to Ensure Compliance with HIPAA
Date: Monday, December 1, 2014

Medicare and Medicaid Audits: The Wave of the Future
Date: Thursday, November 20, 2014

How to Select the Best GRC Solution That's Right for Your Organization
Date: Wednesday, November 19, 2014

ACA and Health Insurance Exchange Litigation: Lessons Learned and Emerging Trends
Date: Tuesday, November 18, 2014

UDAAP: The Latest Developments and Best Practices
Date: Wednesday, November 5, 2014

Market Conduct Exams: Triggers, Trends and Top Findings
Date: Monday, October 27, 2014

The Role of ORSA in Modernizing Enterprise Risk Management: Transitioning from Compliance to Value - An Introduction
Date: Thursday, October 16, 2014

Consumer Financial Practice Bureau (CFPB) Compliance Risk between Hospitals and Vendors
Date: Wednesday, October 1, 2014

Building an Audit Workplan - Beyond Risk Assessments (Healthcare)
Date: Thursday, September 25, 2014

ALL PAYERS ARE AUDITNG! It's All About the Patient's Story & Documentation Plus New! Transmittal 534
Date: Thursday, September 18, 2014

Building a Case for Your Policy Management Program
Date: Tuesday, August 26, 2014

Preparing for a CFPB Mortgage Lending Examination
Date: Tuesday, August 26, 2014

The Credit and Collections Industry and the Consumer Financial Protection Bureau
Date: Friday, August 8, 2014

Exploring an Integrated Clinical Documentation Improvement Program
Date: Thursday, June 12, 2014

Consumer Complaints and the Consumer Financial Protection Bureau
Date: Thursday, June 5, 2014

The Affordable Care Act's Impact on Reimbursements and Steps You Can Take to Mitigate the Risk
Date: Tuesday, June 3, 2014

Managing Risk in Financial Institutions’ Third-Party Relationships
Date: Wednesday, April 9, 2014

OIG Workplan: Compliance Priorities for 2014
Date: Wednesday, March 26, 2014

CFPB Enforcement Update: Takeaways and Future Areas of Focus
Date: Thursday, February 27, 2014

Mastering the (continuing) Chaos of RAC and MAC Audits
Date: Tuesday, February 11, 2014

Healthcare Reform & Insurance: Reimbursement with the New Qualified Health Plan Enrollees
Date: Thursday, January 30, 2014

Attacking the Two Midnight Rule:An Operational Approach
Date: Friday, December 13, 2013

Mortgage Rule Update: Navigating the Complex and Changing Regulatory Environment
Date: Tuesday, December 10, 2013

2014 OIG & DOJ Enforcement Priorities: Hot Topics to Review for Your Compliance Program
Date: Wednesday, December 4, 2013

Denials Management Updates | Throwing ICD-10 in the Mix
Date: Wednesday, November 20, 2013

Practical and Effective Strategies for Managing Conflicts of Interest
Date: Thursday, October 24, 2013

How the New Guidelines for Enterprise Stress Test Can Be a Powerful Tool
Date: Wednesday, October 16, 2013

Mastering the Chaos of Audits with Day Egusquiza: Recent Updates, Hot Issues, and Lessons Learned
Date: Friday, October 4, 2013

ERM + FSGO - A Powerful Combo to Keep Your CEO Out of Jail!
Date: Tuesday, October 01, 2013

Basel III: The Changing Capital Landscape
Date: Tuesday, September 19, 2013

CFPB COMPLIANCE | Interaction Between Compliance Assessments and Systems Issues
Date: Thursday, August 22, 2013

Implementing a Premiere P O L I C Y Program: Step 2 | Organizing the Policy Management Lifecycle
Date: Thursday, August 08, 2013

Omnibus, Business Associates and Breaches: Innovative Approaches for Identifying and Mitigating Risk
Date: Wednesday, July 31, 2013

Compliance Pitfalls & Pathways | Current Trends in Predictive Modeling/Analysis
Guest Co-Host: Mid-Atlantic Chapter of AICP
Date: Tuesday, July 30, 2013

Co-Host: Georgia hfma
Date: Thursday, July 25, 2013

UDAAP: Practical Guidance for Navigating Compliance & Risk Management Challenges
Date: Thursday, July 11, 2013

You've Identified a Corporate Risk - Now What?
Date: Tuesday, May 14, 2013

Implementing a Premier P O L I C Y Program
Date: Wednesday, May 01, 2013

Pearls of Wisdom II: Recent Updates and Guidance from the Ever-Changing World of RAC, MAC, Medicaid, and the OIG
Date: Wednesday, February 06, 2013

ZPIC Audits: Recent Trends and Best Practices to Minimize the Risk
Date: Thursday, January 17, 2013

Protecting Your Revenue: Current Trends and Best Practice Recommendations
Date: Wednesday, December 12, 2012

FCPA Guidance: Practical Recommendations for Ensuring Compliance
Date: Wednesday, December 05, 2012

Critical Illness Insurance Compliance: A Practical Guide to Success
Date: Tuesday, October 30, 2012

Compliance Program Effectiveness: What Will the Fed Prosecutors Look For?
Date: Wednesday, October 10, 2012

Understanding UDAAP: Know Before You Loan
Date: Thursday, September 06, 2012

Denials Management: Current Trends and Best Practices Recommendations
Date: Wednesday, September 05, 2012

Congressional Oversight Priorities and Perspectives: CMS Oversight and Contractor Coordination
Date: Monday, July 31, 2012

Regulatory Compliance Priorities and Preventive Strategies for Managed Care
Date: Monday, July 16, 2012

Pearls of Wisdom: Recent Updates and Guidance from the Ever-Changing World of RAC, MAC, Medicaid, and the OIG
Date: Tuesday, June 19, 2012

Insurance Advertising Compliance - A Practical Guide to Success
Date: Tuesday, May 15, 2012

Personal Risk and the Chief Compliance Officer: How to Avoid Regulatory and Civil Liability
Date: Wednesday, May 09, 2012

Wage and Hour Compliance: Assessing the DOL's Enforcement Initiatives for 2012
Date: Thursday, May 03, 2012

How to Prepare for CMS' 60-Day Overpayment Refund Rule
Date: Tuesday, March 20, 2012

Minimizing the Compliance Risks of Proactive OCR HIPAA Audits
Date: Wednesday, February 29, 2012

Ensuring Compliance with the New HHS Conflict of Interest Regulations
Date: Thursday, February 16, 2012

Old Data Learns New Tricks: Managing Patient Privacy and Security on a New Data-Sharing Playground
Date: Thursday, January 26, 2012

Utilization Management - Patient Status Challenges and Better Practice Ideas to Reduce Vulnerabilities
Date: Thursday, January 12, 2012

Enterprise Risk Management: Addressing the Growing Expectations for Risk Oversight by Executives and their Board
Date: Wednesday, December 14, 2011

Medicare Compliance Challenges in the Age of Healthcare Accountability
Date: Tuesday, November 22, 2011

Wage and Hour Compliance: Mitigating Risks in a New Era of Enforcement
Date: Tuesday, November 15, 2011

Best Practices for Adopting a Risk Management Approach for NCAA Compliance
Date: Wednesday, November 09, 2011

Regulatory Reform and the Emerging Role of Risk Management for CCOs
Date: Wednesday, November 02, 2011

RAC and MAC Updates Plus Appeals Strategies
Date: Thursday, October 20, 2011

Congressional Oversight Priorities and Perspectives on Fraud and Abuse
Date: Wednesday, September 28, 2011

Stark Compliance: Addressing the Operational Challenges
Date: Wednesday, September 14, 2011

Meaningful Use and Compliance - An Operational Guide to Success
Date: Wedneday, August 3, 2011

Dodd-Frank Act: Addressing the New Regulatory Compliance Challenges
Date: Tuesday, July 26, 2011

Strategic Risk Oversight - Identifying & Addressing Key Challenges to Success
Date: Wednesday, June 8, 2011

A Practical Guide to Stark Compliance: Part 2
Date: Wednesday, June 1, 2011

A Practical Guide to Stark Compliance: Part 1
Date: Wednesday, May 25, 2011

How to Develop and Manage Compliance-Related Policies (for Healthcare)
Date: Wednesday, May 18, 2011

ICD-10 Changes Everything - An Operational Guide to a Successful Transition
Date: Tuesday, May 03, 2011

Healthcare Reform: Trends in DOJ Fraud Enforcement
Date: Thursday, April 21, 2011

Medicaid RACs Are On the Way: Tips & Guidance to Protect Your Payments
Date: Wednesday, March 30, 2011

RAC APPEALS: Latest Recommendations for Protecting Your Payments
Date: Wednesday, March 16, 2011

Medicare Part D Compliance Audits - An Operational Guide to Success
Date: Wednesday, March 02, 2011

The Pharmacy 340B Drug Discount Program - Compliance Strategies for Covered Entities
Date: Wednesday, February 9, 2011

Measuring the Effectiveness of Your Compliance Program - An Operational Guide
Date: Wednesday, January 12, 2011

Practical Techniques for Managing Third Party Risk

Transparency What It Really Means in the Wake of Health Care Reform (Self-Disclosure)

RAC Audits: Updates, Audit Findings and Best Practices to Reduce Vulnerabilities

A Guide to the CMS Medicare Secondary Payer Clinical Trial Billing Alert

Managing Delegated Entities: Ensuring Compliance and Minimizing Risks

Fraud Risk Management: Techniques for Prevention, Detection & Mitigation

RAC Audits: When to Appeal, How to Appeal | A Guide to Success

Healthcare Reform | Fraud & Abuse: Challenges and Opportunities in a Stricter World

Managing Medicaid MIC Audits and Appeals: An Operational Guide

Innovative Strategies to Measure, Report and Improve the Efficiency of a Compliance Program
(Exclusively for AICP Members)

ZPIC Audits: Steps You Can Take to Minimize the Risks

Hot Topics in Medicare Secondary Payer Reporting

Identity Theft Red Flags: An Operational Guide for Financial Services


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