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Latest Articles

Stay up to date through our range of news channels, designed to provide you with concise updates on topical compliance issues.

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  • SM&CR Case Study Series - Issue 8

    1st October 2019
    This issue focusses on the necessary amendments to the existing systems and controls to embed SM&CR into business as usual.
  • Compliance Updater - September 2019

    30th September 2019 | The Compliance Updater
    Sweden state pension fund fires CEO over internal rule breach. Banker in insider dealing investigation charged for deleting messages. Ex-Goldman banker told to pay £7.3m in corruption case. Clearing house agrees to $20m penalty for risk failures. Three JPMorgan metals...
  • SM&CR Case Study Series - Issue 7

    1st September 2019
    This issue focusses on the design and delivery of training for the certification staff.
  • Compliance Updater - August 2019

    31st August 2019 | The Compliance Updater
    Global regulators’ privacy worries over Facebook cryptocurrency. Malaysia charges seventeen Goldman staff over 1MDB scandal. Allegations of market manipulation against short seller Muddy Waters. Claims of a $38bn fraud at GE. Holiday season thoughts. Relaxing rules for Norway’s $1 trillion...
  • SM&CR Case Study Series - Issue 6

    1st August 2019
    In this issue, Sam assesses the fitness of her certification staff and what training and evidence will be required
  • Compliance Updater - July 2019

    31st July 2019 | The Compliance Updater
    Swiss v EU spat – is this a signal for the post-Brexit world? Orcel set to sue Santander for €100m. UK’s FCA plans ban on bitcoin derivatives for retail investors. Danske claimed to have sought to discredit whistleblower. FCA reveals...
  • SM&CR Case Study Series - Issue 5

    1st July 2019
    This issue focusses on devising an SM&CR training plan for senior managers.
  • Compliance Updater - June 2019

    30th June 2019 | The Compliance Updater
    SEC agrees to introduce best interest rule for stockbrokers. Woodford problems highlight the failure of the ACD. ‘Ethical failures’ at US arm of KPMG. PWC faces £4.6m audit penalty. RBS report described as a ‘whitewash’. Lloyds freezes 8,000 offshore accounts....
  • CCL Regulatory Update: UK Edition - June 2019

    Carwyn Evans | 30th June 2019
    This edition includes: FCA Quarterly Consultation, PRA Regulated Fees and Levies Proposal 2019/20, EBA Publishes Opinion on Strong Customer Authentication on PSD2, HM Treasury Updates AML/CTF Notice on Controls in Higher Risk Jurisdictions, Bank of Scotland Fined for Failing to...
  • CCL Regulatory Update: Middle East Edition - June 2019

    Clare Curtis | 30th June 2019
    This edition includes: DFSA Makes Amendments to Rulebook, ADGM Joins Network for Sustainable Financing, Global Financial Innovation Network Publishes Year Review Report, UK Courts Find Two Guilty of Insider Dealing.
  • SM&CR Case Study Series - Issue 4

    1st June 2019
    This issue looks at the process for assessing the fitness and propriety of the SMFs, and how to devise training plans to address shortcomings.
  • Compliance Updater - May 2019

    31st May 2019 | The Compliance Updater
    LCF accused of misleading investors in the ‘mini bonds’ scandal. Hong Kong tycoon battling with Shaftesbury plc over non-pre-emptive placing. British company ownership secrecy still lingers. Jefferies helped hedge fund partner make side trades that brought about collapse. Ex-Goldman banker...
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