Compliance Training in Europe
Whether someone is new to your team, or you need to ensure that you or your existing team members have sufficient knowledge and understanding to comply with current regulations, we offer a wide range of ACA financial compliance training courses in the UK and Europe, designed to help you and your firm understand the regulatory framework and apply compliance.
Tailored In-House Training
Our tailored training is ideal for larger groups or if you have specific topics to be briefed on, or complex scheduling and timing for busy teams in different jurisdictions. Check out our menu of tailored training topics and options here or speak to us about how our virtual and interactive courses can be customised to meet your learning objectives and the content developed to meet your specific requirements.
Latest insights
Car Washes, Motels... now the Post Office? Money Laundering hits the UK High Street.
In December 2022 the FCA issued final notice against a UK regulated bank for serious and persistent gaps in its anti-money laundering (AML) controls in its Business Banking portfolio. New reporting shows the UK Post Office system was specifically targeted to launder those proceeds and moved approximately £1.3bln through the institution.
- AML and Financial Crime
FAQ About the Principles for Responsible Investment (PRI)
We’ve put together an FAQ to help you navigate the various requirements of being a PRI signatory (including the annual reporting requirement).
- ESG
2023 Investment Management Compliance Testing Survey is Now Open
The survey, now in its 18th year, gathers anonymous information from U.S. investment advisers of all types and sizes for the purpose of reporting on industry trends.
- Compliance
Checklist: Cybersecurity Board Reporting
Upcoming regulations will likely require more board oversight and involvement in a company's cybersecurity program. Our checklist can help you create an effective report for the board to perform its required cybersecurity oversight.
- Cybersecurity
- Portfolio Company Risk Management
Tip for Updating Your Compliance Program: Conflicts of Interest
The SEC makes it clear that all broker-dealers and investment advisers have conflicts of interest, and that firms must have a process to identify, mitigate, or eliminate these conflicts.
- Compliance
5 Tips to Maximize the Effectiveness of a Mutual Fund Fact Sheet
Fact sheets are one of the main tools that investors reference when analyzing mutual funds, and they can be an essential marketing piece to attract and engage additional shareholders.
- Distribution