For Brokers Only: Risks and Responsibilities | Session II: Operational & Compliance Strategies

Building on Session I, this course focuses on the operational challenges and high-risk areas that can expose brokerages to legal and regulatory issues. Topics include handling claims, E&O insurance, advertising oversight, and document retention. The session also covers policy considerations related to earnest money, fraud prevention, harassment, and safety. With a legal lens on real-world scenarios, this course equips brokers with the tools to implement policies that foster accountability, minimize risk, and support a culture of compliance. This class is for brokers and does qualify for 3 hours of broker credit with the Georgia Real Estate Commission.

Wednesday, June 11, 2025

$50 | 3 Hours of Broker CE Credit

For further information, contact:

Weissman Academy

404-926-4532

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