FCA Regulatory Training

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 compliance training, designed to help you and your firm understand the regulatory framework and apply compliance.

Upcoming Training Courses

Take the opportunity to book onto one of our virtual and interactive courses.

  • 6 February 2025
  • 24 April 2025
  • 11 June 2025
  • 8 October 2025

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  • 29 January 2025
  • 06 March 2025
  • 10 April 2025
  • 04 June 2025
  • 02 July 2025
  • 10 September 2025
  • 15 October 2025
  • 03 December 2025

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  • 11 February 2025
  • 12 March 2025
  • 05 June 2025
  • 03 July 2025
  • 17 September 2025
  • 05 November 2025

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  • 05 March 2025
  • 14 May 2025
  • 24 September 2025
  • 04 December 2025

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  • 19 March 2025
  • 12 June 2025
  • 25 September 2025
  • 10 December 2025

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  • 05 March 2025
  • 09 April 2025
  • 06 August 2025
  • 01 October 2025
  • 12 November 2025

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We offer a wide range of ACA financial compliance training courses to the UK and Europe, designed to help you understand the regulatory framework and apply compliance. 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.

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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

curved glass building looking up at a blue sky

FinCEN and the SEC Propose Customer Identification Programs for Advisers

FinCEN and the SEC recently issued a proposal detailing requirements for customer identification programs for registered investment advisers and exempt reporting advisers.

Compliance Alert
  • AML and Financial Crime
  • SEC
London financial district skyscrapers looking upward

The FCA Reminds Firms of the Importance of Data and Algorithmic Governance in Market Abuse Surveillance 

In its Market Watch 79, the FCA issued a reminder to firms about the perils of data issues and poor algorithmic governance in tools used for market abuse surveillance. 

Compliance Alert
  • Compliance
  • FCA
  • Trade Surveillance
  • RegTech
  • ComplianceAlpha
Bank

The Fifth Circuit Court of Appeals Rules to Vacate the SEC's Private Fund Adviser Rules

Although the court ruled to vacated the SEC's Private Fund Adviser Rules, we do not see this as a moment to "put pencils down,” but rather to monitor closely and continue with compliance readiness under potential appeal outcomes.

Compliance Alert
  • Compliance
  • SEC
  • Private Fund
Interval and Tender Offer Funds

An Overview of Interval Funds: Rule 23c-3

An overview of Rule 23c-3 forms the foundation for understanding interval funds’ fundamental structure. Rule 23c-3 delineates the regulatory framework, mechanisms, and restrictions for how interval funds conduct repurchase offers.

Article
  • Distribution
Pride Month Celebrating Artistic Contributions

ACA and ACA ALLiance Celebrate Pride and Progress

This Pride Month, we are excited to celebrate with our employee resource group, ACA ALLiance, to honor the contributions and experiences of the LGBTQIA+ community within ACA and beyond.

News
  • ACA News
Press release

ACA Group Announces Agreement to Acquire UMB Distribution Services, LLC

Acquisition expands ACA Foreside’s distribution leadership, now distributing and servicing over an estimated $2 trillion in assets.

Press Release
  • Distribution
  • ACA News