This webinar has already occurred. To listen to a recording of this special webinar, simply click on the link below:
Retirement plan advisors, plan sponsors, investment fiduciaries and TPAs
Tuesday, May 17, 2016, 12-1 PM ET
SEC changes to the money market rules will almost certainly require that retirement plan fiduciaries make changes in their plan’s investments. Fiduciaries should be considering what to do about the changes and talking to their service providers now. During this session, Larry H. Goldbrum of Reliance Trust Company, will discuss the implications of the changes and important action items for plan fiduciaries. Time will be allowed for questions.
Larry H. Goldbrum is SVP and director of the Reliance Trust ERISA fiduciary services team. He provides thought leadership on critical retirement plan industry issues and has more than 30 years of legal experience in the retirement and investment services industries. Larry previously served as general counsel of The SPARK Institute.