Syllabus Overview

  • Understanding the Regulatory Environment
  • Institutional Compliance and Governance Framework
  • Compliance in Practice
  • Risk-Based Approach in Compliance Examination
  • Reporting

General Details

Duration: 7 Sessions Total hours: 21 Hours

Understanding the Regulatory Environment

  • What is Regulatory Compliance Exactly?
  • The Scope of Regulatory Compliance Division
  • Understand your responsibilities

 

Institutional Compliance and Governance Framework

  • Organizational Structure
  • Business Intersection
  • Internal Audit
  • Risk Management
  • Legal Department
  • AML Division
  • Top Management and BOD

 

Compliance in Practice

  • Dealing with Regulators
  • Periodic Reporting
  • Compliance Monitoring
  • Compliance Policy
  • Modules of Compliance Examination, How to start?

 

Risk-Based Approach in Compliance Examination

  • Identify the Inherent risks
  • Analysis of Controls and Risk Mitigations
  • Calculate the residual Risk and determine the next testing date
  • Compliance Monitoring and Examination Process
  • Build Compliance Examinations System

 

Reporting

  • Preparing Compliance Reports
  • What to Include and what not

Regulatory Compliance Officers in the following industries

  • Banking Industry
  • Insurance and reinsurance Companies
  • Brokerage agencies
  • Leasing and Microfinance Companies
  • Lending Firms
  • Exchange Houses and Money Service Business

 

Workers in the supervisory authorities e.g:

  • Central Banks
  • Financial Sector Regulatory Authorities
  • Financial Intelligence Units FIUs
  • Related Ministries and government bodies
  • More

 

Workers at the (IT solution firms) who provide Regulatory Compliance Systems.

  • Exam Duration:60 Minutes
  •  # of Questions:50
  •  Type of Question:Multiple Choice
  •  Pass Mark:75/100

  • English
  • Arabic
  • Turkish
  • French
  • Chinese Simplified (2022)
  • Spanish (2022)

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