MILWAUKEE – January 4, 2013 – As we transition into the New Year, Quest CE, premier provider of insurance continuing education and FINRA firm element training, is excited to announce an overview of the services/upgrades that are to become available in first quarter, 2013. The company intends to introduce an assortment of new applications, LMS upgrades, and additional compliance solutions to build-off its previous year’s achievements.
In the 2013 training year, clients can expect to see enhanced upgrades made to both the representative and administrative side of Quest CE’s Learning Management System, Renaissance. The updated layout and streamlined user interface creates a one stop shop for representatives to review available courses within their personalized profile.
First quarter, Quest CE will also be introducing an automated licensing and registration platform, Bridge. This expertly constructed application connects producers with the necessary regulatory bodies, while simplifying their multifaceted compliance requirements. Bridge also houses producer information within a centralized database, facilitating future outreach for continuing education and other business purposes.
Additionally, in partnership with Solomon Exam Prep, Quest CE will be expanding its securities exam prep materials. Quest CE will house a variety of interactive practice materials for Series 6, 7, 24, 26, 55, 62, 63, 65, 66, 79, 82, 99 and Life and Health. Representatives will be able to access their Securities Exam Prep, Firm Element Training, On-Demand Annual Compliance Meeting, Annual Compliance Questionnaire, Needs Analysis Survey, the Branch Audit Tool and Social Media and Email Archiving services in one centrally-located and customizable compliance training platform.
Quest CE will also be introducing an array of FINRA and Quest CE authored Firm Element and Anti-Money Laundering courses, as well as the latest, nationally approved insurance CE courses for 2013. Quest CE’s unique partnership with FINRA allows the company to be one of only two providers that have the ability to host FINRA authored training courses. Quest CE also has long-standing relationships with a variety of professional course writers who create courses specifically customizable towards a firm’s individual needs.
“Each and every year we continue to invest in the most important aspects of our business; our employees and technology,” said Quest CE President and CEO Alan Krenke. “We’re growing industry leaders, developing advanced applications, applying intelligent software and partnering with the right customers and communities around the nation.”
Quest CE’s new compliance solutions will be available early first quarter for demonstration and implementation. Contact Quest CE at 877-593-3366 or e-mail firstname.lastname@example.org to speak with one of our dedicated account executives about executing your compliance program for the 2013 training year.
About Quest CE
For over twenty-five years, Quest CE has been the premier provider of Compliance Education to the financial services industry. In addition to offering Providership Administration and insurance continuing education (CE) for professionals holding insurance licenses and professional designations like the CFP, CPA, CLE, CIMA and CLU/ChFC designations, Quest CE also provides a complete spectrum of FINRA compliance training solutions including annually required Firm Element Training for registered representatives, on-demand Annual Compliance Meetings, Annual Compliance Questionnaires, Needs Analysis Surveys, Outside Business Activity Tracking, Gifts and Entertainment Tracking and Political Contributions Tracking.
Serving more than 535 leading insurance carriers, broker-dealers, banks, and other financial institutions, Quest CE is committed to providing advanced custom solutions at cost effective rates, while providing a level of service that greatly surpasses their competitors. Quest CE is the single source solution for organizations seeking training and compliance needs.