Continuing Education → Professional Development

Practice Management Part III (LCIFGA009)


Description
FP Canada: 1.0 Practice Management (#7777)
Alberta Insurance Council: 1.0 Life, 1.0 A&S (#55283)

Practice Management Part III is a 10-part mini-series on how financial professionals can grow and manage a successful business. From personal to professional development, strategic philanthropy, pricing models and work-life balance, Practice Management focuses on you, the Advisor and overcoming the challenges and obstacles standing between you and success. The course concludes with a final test. A passing grade of at least 60% is required.


This CE activity has been approved by FP Canada as meeting the minimum requirements for CE Approval as outlined within the FP Canada Continuing Education Guidelines. The views and opinions expressed in this presentation are those of the presenter / content author and do not necessarily reflect the views of FP Canada.

CE Credits: 1.0 Accreditation Number: 7777 CE Credit Type: Professional Development

Content
  • How to preserve financial wits amid market meltdowns
  • Six advisors and their toughest challenges today
  • Advisors, talk to your clients
  • Hiring top talent a challenge for financial services firms
  • Developing a niche can do wonders for an advisor’s business
  • Multi-generational financial advisory practices are on the rise
  • Advisors who fail to embrace professionalism this decade do so at their peril
  • Why advisor professionalism is key to economic recovery
  • Investment dealers’ recruitment efforts go virtual
  • Why more advisors are looking to go independent
  • Can we get your feedback?
  • Globe Advisor Survey
  • Final Quiz
  • Final (Globe Advisor) Practice Management Part III
Completion rules
  • All units must be completed
  • Leads to a certification with a duration: Forever