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CFP Board Code of Ethics and Standards of Conduct - Darin Shebesta - Live Webinar - Only $19

This course will be LIVE on the following date:

Thurs., May 23, 2024 – 2-4 PM ET

Please note:  Once you purchase this course, you will receive an email with a token to redeem.  Please redeem this token to see the link to the above date to finish your registration.

This will be a two-hour, highly interactive program. IMPORTANT: In order to receive CE for this course, every participant will be required to be in attendance for the entire program, PLUS answer all case study questions.

Attend the upcoming LIVE WEBINAR without the need to take the online quiz to receive CE! This course will be delivered once a month (12 times per year). 

The CFP Board is committed to setting and enforcing ethical standards that benefit the public. 

As part of CFP® certification, all CFP® professionals commit to uphold the high standards outlined in the Code of Ethics and Standards of Conduct. 

This helps give clients confidence they're partnering with a financial advisor who will put them on the path to a secure future. The CFP Board's Code of Ethics and Standards of Conduct requires CFP® professionals to uphold the principles of integrity, objectivity, competence, fairness and confidentiality. They make a commitment to put their clients' interests first at all times when providing financial advice. This program fulfills the requirement for CFP Board approved Ethics CE. It has been designed to educate CFP® professionals on CFP Board's new Code of Ethics and Standards of Conduct effective October 1, 2019.

In "CFP Board Code of Ethics and Standards of Conduct" with Darin Shebesta, you will:

  1. LO 1: Understand the structure and content of the revised Code and Standards, including significant changes from prior rules.
  2. LO 2: Describe CFP Board’s Fiduciary Duty.
  3. LO 3: Identify Material Conflicts of Interest and How to Avoid, or Fully Disclose, Obtain Informed Consent, and Manage Them.
  4. LO 4: Understand the Duty to Report to CFP Board and the Duty to Cooperate.
  5. LO 5: Identify the Practice Standards When Providing Financial Advice that Requires Financial Planning or Financial Planning.
  6. LO 6: Understand the Duty to Provide Information to Clients When Providing Financial Planning and/or Financial Advice. 

Your presenter is Darin R. Shebesta, CFP®, AIF® CAP®, CPFA®, Vice President, Possibility Wealth Advisors, LLC.

Darin Shebesta, CFP, AIP

Darin's previous experience as a research analyst with Templeton Financial Services from 2006 to 2007, and as vice president and wealth advisor with Jackson/Roskelly Wealth Advisors in 2008, set the stage for joining Possibility Wealth Advisors, LLC in 2016 and specializing in integrated financial planning and investment management for the next generation, business owners, widows and attorneys.

Darin graduated with a bachelor's degree in finance from the W. P. Carey School of Business and Barrett Honors College at Arizona State University. He is a Certified Financial Planner™ professional. He has also been featured or quoted in several publications including InvestmentNews, Forbes, CNBC, The Huffington Post, Young Money Magazine, MarketWatch, Financial Planning, OnWallStreet, The Arizona Republic, American Funds, and, among others.

Darin's various community involvement activities are numerous. Among them: past president, Financial Planning Association of Greater Phoenix, 2015; past president, HOBY Arizona, 2012 to 2015; board of governors member, HOBY International; Class 28, Scottsdale Leadership; former board member and chair for corporate outreach, Scottsdale Leadership; member, Rotary Club of Scottsdale; member, One FPA Advisory Council.

Darin helps bring clarity, insight and partnership to clients' lives. He specializes in working with the next generation of professionals to develop a blueprint, prioritize challenges, implement solutions, and monitor their situation year after year, decade after decade to help achieve what's important to them.

Darin is a Next Generation Financial Planner in Phoenix, Arizona who recognizes the importance of a client centered business model. He acknowledges the value of building a network of strategic partners to aid in the success of managing the client relationship. He understands the significance of developing relationships and helping others achieve their goals and objectives.

Darin earned the CERTIFIED FINANCIAL PLANNER™ Professional certification in 2010. He works with a team of well educated, ethical, and competent professionals who strive to make a difference for many individuals and families. He believes in the value of comprehensive financial planning and feel that advisors should have a fiduciary responsibility when working with their clients.

The clients he tends to work best with are business owners, attorneys, DINK's, HENRY's, and people who have gone through a transition such as a death or divorce. 

Moderator: Betty Meredith, CFA, CFP®, CRC®, Int’l Retirement Resource Center

2 hr CFP®, CRC®, and other CE Credit Reporting

We will report your CFP® and/or CRC® credit (no additional reporting fee). After purchase you will receive an email with a token. Please redeem token and there will be further instructions on finishing your registration for this webinar and where to enter your CFP® and/or CRC® IDs  You are responsible for reporting all other certifications for CE credit. 

Overall Rating: 4.9 / 5

The $29 fee is waived for all 90 Days – $125 and 365 Days – $250 subscriptions. Subscribers have ALL ACCESS to this and 50+ other live, rebroadcast, and on-demand courses at no extra fee!

Retirement Resource Center Risk Free Guarantee

Your satisfaction guaranteed: We know that you will be pleased with your purchase of this product. If, however, you are not completely satisfied notify us within 30 days of your purchase to receive a full refund of your fee, less any CFP® CE reporting fee for the course that was filed prior to cancellation.


CFP Board Code of Ethics and Standards of Conduct - Darin Shebesta - Live Webinar - Only $19


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