Introduction
This course explores the complexity of challenges faced by compliance officers and managers due to evolving regulations, dynamic business environments, and emerging risk scenarios. Participants will learn, practice, and assess best-practice recommendations for the role of Legal and Compliance Officers, emphasizing statutory, regulatory, and organizational compliance, as well as ensuring staff are appropriately trained.
Course Objectives
By the end of this training, participants will be able to:
- Understand the role and responsibilities of the compliance function, including Compliance Officer roles and necessary skills.
- Develop and implement effective compliance policies and procedures.
- Understand key legislation and ethical requirements relevant to the compliance function.
- Appreciate the relationship between the compliance department and the legal affairs department.
- Identify and manage key risk areas, including:
- Money laundering
- Cybercrime
- Bribery and corruption
- Data protection breaches
- Financial services regulations
Target Audience
- Compliance Officers and employees
- Risk Managers
- Compliance Managers, Associates, and Analysts
- Contract Executives and Managers
- Staff with responsibilities related to legal compliance
This program is suitable for anyone in a compliance or risk management role, as well as individuals seeking a thorough understanding of organizational compliance principles.
Course Outline (5 Days)
Day 1 – Understanding Risk, Statutory, Legal and Regulatory Compliance
- Effective legal and regulatory compliance
- Conduct of business in regulated industries
- Prudential compliance and integrity
- Managing regulatory compliance in a dynamic environment
- Regulatory frameworks, enforcement, and potential liability
Day 2 – Understanding the Legal and Regulatory Environment
- Law and regulation: objectives and sources
- Prevention of money laundering and financial crime
- Terrorist financing and the USA PATRIOT Act
- Fraud, corruption, market manipulation, and insider dealing
Day 3 – Business Knowledge and Awareness
- Corporate governance codes and regulatory principles
- Overview of commercial laws and legal mechanisms
- Compliance structures and processes
- Risk-based monitoring and investigating compliance breaches
- Compliance training and development
Day 4 – Compliance in Practice
- Compliance governance and internal/external relationships
- Links between compliance, culture, and ethics
- Internal compliance controls and practical considerations
- Risk management and oversight
Day 5 – Legislation of Relevance to the Compliance Function: Risk Management
- Identifying potential dispute areas and regulatory risks
- Designing effective risk management systems
- Key risk areas: financial crime, cybercrime, bribery, data protection
- Best-practice risk management techniques
- Integrating compliance with legal department functions