The course material was clear and easy to read. I was able to move through the lessons pretty quickly.
Everything worked smoothly from start to finish. The platform was simple and easy to use.
Covers anti-money laundering regulations, fraud prevention practices, compliance standards, and reporting responsibilities relevant to licensed insurance professionals.

This course introduces insurance professionals to anti-money laundering (AML) requirements, fraud detection principles, and regulatory compliance responsibilities within the insurance industry. Topics include suspicious activity indicators, reporting obligations, compliance procedures, and ethical responsibilities designed to help prevent financial crimes.
Designed for licensed insurance professionals, this self-paced course helps agents strengthen compliance awareness, recognize potential fraud risks, and respond appropriately to suspicious activity in professional practice.
This course has been approved by the Georgia Department of Insurance for insurance continuing education credit.
Approved for:
Reported within 24 hours of course completion.
The course material was clear and easy to read. I was able to move through the lessons pretty quickly.
Everything worked smoothly from start to finish. The platform was simple and easy to use.
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