CE Compliance Review Process
The CAS Continuing Education (CE) Policy will first apply to Actuarial Services rendered on or after January 1, 2012. Fellows and Associates were asked to certify their compliance with the policy’s CE requirements as of December 31, 2011.
The CAS online membership directory has been modified to include information about member compliance with the CE Policy and that information is available to the general public. The limited directory will display member names, membership designations, and current year's compliance status (compliant, not compliant, not providing actuarial services).
In order to verify the integrity of the information contained in the CAS membership database on which an outsider might rely, the CAS will randomly audit 1% of the continuing education logs for members who have attested their compliance with the Policy. In addition, the CAS Board of Directors agreed that 100% of the Board and Executive Council members (excluding appointed directors and the Executive Director) will be subject to the annual audit regarding compliance with the CE Policy.
The CAS has released the CE Compliance Review Process for 2012. CAS members should maintain a log of their CE activity to document that they have met the continuing education requirements.
Members are encouraged to review the complete CE Policy for all of the details on the CE requirements. The policy, a list of frequently asked questions and responses, audit procedures, and links to other resources are available on the CAS Web Site.
If you have any questions, please contact Todd Rogers, CAS Director of Finance and Operations, at firstname.lastname@example.org.