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Your TRID Questions Answered Webinar Recording

Your Price: $99.99

Webinar Details

  • Air Date: Thursday, August 9, 2018
  • Running Time: 60 minutes
  • Produced by: October Research, LLC

Recording Format: Receive a link via email to download a digital recording of the presentation along with a PDF of the slides and other materials.

Part Number: ORW080918

"Thank you for presenting additional items of consideration for TRID 2.0 than what has been previously reviewed." ~ Webinar Attendee

Richard Horn, Partner at Garris Horn, PLLC, answers the most-asked questions surrounding TRID 2.0 and discusses the many technical and detailed changes involved.

"This is not an easy path, TRID 2.0, it is not just a minor amendment rule, this does represent a major change to TRID.”
~Richard Horn

The leading expert of the final TRID rule will cover:

  • How title and third party costs should be disclosed
  • What happens when the rule is revisited by the bureau
  • How to ensure your technology is ready
  • The best way to update your processes and procedures
  • How the CFPB's priorities will change moving forward
  • And much more!

Subscriber discounts are available.

Webinar Sneak Peek

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Featured Instructors:

Richard Horn Richard Horn
Garris Horn, PLLC

Richard Horn is a founding member of Garris Horn PLLC, a new virtual financial services law firm. Richard is a former Senior Counsel & Special Advisor in the Consumer Financial Protection Bureau’s Office of Regulations. At the CFPB, Richard led the final TRID rulemaking and the CFPB’s design of the TRID disclosures. As a key architect of TRID, Richard is one of the foremost experts on the rule. Prior to joining the CFPB, Richard was a Senior Attorney at the Federal Deposit Insurance Corporation in the New York Regional Office. At the FDIC, Richard worked on consumer compliance and risk management supervisory matters and enforcement actions in many areas of consumer finance law.

Richard currently advises on all consumer finance regulatory issues, including TRID, RESPA, TILA, FCRA, UDAAP, and state high cost lending and licensing laws. He also advises clients on exam preparation, supervisory matters, investigations, and enforcement actions. Richard’s clients include community, regional, and large depository institutions, non-depository lenders, technology companies, title insurance underwriters and agents, due diligence firms, and investors.

Garris Horn PLLC was founded with a singular aim – completely redesign the financial services law firm to provide the highest levels of personalized service to financial services clients. Our firm started and evolves with technology, seeking to shed the inessentials of the traditional law firm, such as expensive real estate and ever-increasing law firm rates. As a law firm for the information age, we offer a streamlined, extremely efficient approach. Our focus is on getting you there, personally, effectively, and efficiently. We are the next evolution of the financial services law firm. Effective. Efficient. Evolved.



Leslie Wyatt Leslie Wyatt
Director of Regulatory Compliance

Leslie Wyatt is the Director of Regulatory Compliance at SoftPro. She began her career in the real estate industry over 20 years ago, and joined SoftPro in 2002. She currently oversees the Compliance Department with her primary focus being on regulatory issues at the Federal, state and county levels.

Leslie is a member of the ALTA Implementation Task Force, the Title Action Network Steering Committee, the ALTA Government Affairs Committee, the ALTA Membership Committee, the ALTA Education Committee and the TLTA Federal Issues Committee. She has represented ALTA at a congressional briefing regarding the CFPB and the TRID changes. Leslie travels though out country speaking on our industry’s hot topics with a focus on regulatory and compliance. Leslie continuous to work with the CFPB on various projects regarding TRID, UCD, MISMO and other industry hot topics.


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