About
The Certified Compliance & Ethics Professional – International (CCEP-I)® certification equips professionals with essential knowledge of regulations and compliance processes, enabling them to support organizations in navigating legal obligations and fostering integrity through effective compliance programs. This certification is vital in today’s high-risk corporate environment, helping to mitigate compliance-related risks.
Certification Body : Society of Corporate Compliance and Ethics (SCCE®)
Learning Objective
- Understand global compliance frameworks and regulations.
- Develop and implement compliance programs.
- Conduct compliance risk assessments.
- Create effective compliance communication and training.
- Monitor and audit compliance activities.
- Respond to compliance violations effectively.
- Promote a culture of compliance and ethics.
- Navigate ethical dilemmas and propose solutions.
Participants will gain essential skills for effective compliance initiatives.
Exam Information
- Exam Duration: 2 hours
- Number of Questions: 100 multiple-choice questions
- Exam Format: Multiple-choice
Recertification
- Certification Validity: 2 years
- CEUs Required: 40 Continuing Education Units (CEUs) every 2 years
- Renewal Fee: Must be submitted along with CEUs
- Grace Period: 1 month after certification expiration
- Extension Options: Additional extension of 1 or 2 months may be requested if needed
Curriculum
- 6 Sections
- 12 Lessons
- 40 Hours
Expand all sectionsCollapse all sections
- Management Practices2
- Ethics in Compliance2
- Development of Policies and Procedures2
- Compliance Officers and Committees2
- Training and Communication2
- Monitoring and Responding to Violations2
Requirements
- At least one year of compliance experience.
- Minimum of 20 Continuing Education Units (CEUs) required.
Target audiences
- Financial Crime Prevention Specialists
- Anti-Money Laundering Analysts
- Fraud Investigators
- Regulatory Compliance Officers
- Risk Management Professionals