Agency, Supervision & Fraud: Protecting Your Brokerage and Clients
Agency, Supervision & Fraud: Protecting Your Brokerage and Clients (4 Hours CE Credit)
This 4-hour course features our Audio option—click the speaker icon on each slide to listen to the content.
The course focuses on four main topics:
- Agency law and agency relationship from the broker’s perspective
- The functions, roles, and responsibilities of brokers in relation to employment and supervision of both licensed and unlicensed individuals
- The risks associated with technology and wire fraud
- Common LREC violations
This course is approved and certified by LREC and ARELLO.
$25.00
Class Policies
Student Cancellations & Refunds:
Cancellations must be made at least 5 business days prior to the start of the class. Refunds will be given if student cancels at least 5 business days to the start of class. Note that refunds may be subject to a 3% processing fee.
Class Cancellations or Changes:
All starting dates are subject to change or cancellation due to potential events that are out of the School's control. In the rare case that a class start date is cancelled or changed, we will notify the registered students at least 24 hours before the start of class, and provide further information at that time.
Privacy:
All information received from the student will be considered confidential and will not be made available to third parties except for purposes of reporting credit hours to NMLS or to the state of Louisiana.



