International Diploma in Compliance. Syllabus

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International Diploma in Compliance Syllabus Module 1 - Unit 1: Understanding the Regulatory Environment The objectives of financial services regulation The history of financial services regulation International initiatives National regulatory model Understanding legislation and how it is applied An uneven playing field Module 1 - Unit 2 (Part 1): Regulatory Structure Law and regulation Module 1 - Unit 2 (Part 2): Regulators and their Powers The role of the regulator Regulatory models Principles-based or Rules based regulation Authorisation Supervision Enforcement Regulatory rules The framework of a regulator Independence, transparency and accountability of the regulator Exchange of information and regulatory cooperation 1

Lead regulators and home and host regulators The potential liability of regulators Module 2 - Unit 3: The Role of the Compliance Officer The duties and responsibilities of the compliance officer and the function of compliance Compliance officer activities Managing key relationships The requirements of a Compliance Officer Know your regulator Preparing and managing a regulatory supervisory visit Developing regulator relations Drafting a Compliance Officer s job description/contract Drafting compliance reports. Module 2 - Unit 4: Risk Management Types of risk The interrelationship between risks Managing risk Module 2 - Unit 5: Designing an Internal Compliance System Regulatory principles Issues Developing high-level compliance policies and obtaining board commitment Defining responsibility for compliance The compliance function Complaints Handling client assets Advertisements and promotional material Terms of business Specific internal compliance control issues 2

Creating an effective compliance culture Module 3 - Unit 6: Managing the Risk of Money Laundering and Terrorist Financing How is money laundered? The money laundering vulnerabilities of particular services and products Understanding money laundering offences The relationship between the MLRO, the MLPO and the Compliance Officer Designing an effective internal reporting system Procedural requirements to forestall money laundering including KYC Terrorist financing The US Patriot Act and US extraterritoriality Correspondent banking Money laundering and tax evasion Module 3 - Unit 7 (Part 1): Fraud prevention Financial Crime What is Fraud? Fraud perpetrated against ordinary investors Wire transfer fraud schemes Advanced fee fraud Letter-of-credit fraud Check/cheque fraud Credit card fraud Securities frauds conducted by investment businesses Preventing fraud False accounting Corruption Identify theft. 3

Module 3 - Unit 7 (Part 2): Market Misconduct (Market Manipulation/Misleading Statements) Insider Dealing, and Market Abuse Market manipulation and misleading statements (market misconduct) The offence of insider dealing Market abuse Module 3 - Unit 8: Investigations, Enforcement and Production Orders What to do when a regulatory issue arises Conducting internal investigations Informing the regulator Managing the risk of document destruction Handling an investigation by the regulator Responding to production orders and requests for information Avoiding fishing expeditions Legal professional privilege Breaches of client confidentiality Picking up the pieces avoiding the recurrence of compliance problems Module 4 - Unit 9: Corporate Governance Compliance and corporate governance The relationship between compliance and corporate governance corporate International corporate governance initiatives Creating an effective compliance environment Training Compliance culture - what is it and why is it important? Ethics, integrity and culture Module 4 - Unit 10: Ethics and Corporate Social Responsibility Definitions Is there a role for the compliance function in this area? Investors Consumers 4

Current regime EU involvement Government involvement Non-regulatory developments Financial Organisations Reporting Guidelines (FORGE) OECD Guidelines for Multinational Enterprises Clarkson Principles for Stakeholder Management Global Reporting Initiative (GRI) The Equator Principles Common problems Key factors of success Key measures of success Business drivers Module 4 - Unit 11: Evaluating Industry Sectors Banking services Investment business Collective investment schemes Insurance services Trustee services Corporate services 5