Quest CE, premier provider of insurance continuing education and FINRA firm element training and tracking, is proud to announce the approval of their Alaska NAIC Four Hour Annuities Training Course.
FOR IMMEDIATE RELEASE / PRURGENT
Quest CE, premier provider of insurance continuing education and FINRA firm element training and tracking, is proud to announce the approval of their Alaska NAIC Four Hour Annuities Training Course. In compliance with NAIC guidelines, Quest CE’s one-time, four hour course covers the necessary requirements of producer licensing for annuity sales in Alaska, and states with similar licensing requirements.
Effective 1/1/2011, Alaska requires all insurance producers holding a life line of insurance license on 10/16/2011 to complete a one-time, four hour approved annuity training course before 1/16/2012. If a producer has taken substantially similar annuity training fulfilling another state’s annuity based continuing education requirements, this certification may be supplemented for credit. After completion of the required annuity course, the producer must present a certificate of completion to ensure no lapse in licensing.
The required annuity training topics include:
•The types of and various classifications of annuities
•Identification of the parties to an annuity
•How fixed, variable, and indexed annuity contract provisions affect the consumer;
Quest CE provides crucial NAIC annuity suitability training along with a wide array of continuing education courses to fulfill every producer’s industry needs at both state and national levels.
To view Quest CE’s NAIC Annuity Training Platform Click Here (or visit http://learn.questce.com/naicsuitability). For questions regarding the annuities training course or the requirement, please contact Quest CE at 877-593-3366 or e-mail infoquestce.com.
About Quest CE
Since 1986, Quest CE has built a reputation of being 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 compliance training solutions including the Financial Industry Regulatory Authority (FINRA) 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.
With a client retention rate of 93% and a growth rate of over 770% since January 1, 2005, more and more people are discovering why Quest CE is the Next Generation of Compliance Training Solutions. Quest CE serves more than 300 leading insurance carriers, broker/dealers, banks, and other financial institutions. Quest CE is a privately held firm which allows us to quickly meet the ever-changing needs of our clients. Quest CE’s commitment is to provide advanced custom solutions at cost effective rates, while providing a level of service that greatly surpasses that of our competitors. Quest CE provides a single source solution for organizations training and compliance needs, saving you both time and money.