Introduction
Compliance Certification is a management program designed to teach a practical understanding of regulatory compliance needs. The program covers eight major subject areas and uses a variety of training techniques.
The key areas of the curriculum include:
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Understanding the regulatory environment
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Identifying who is responsible for compliance
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The role of corporate governance and ethics in compliance
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Implementing compliance programs
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Practical, pragmatic approaches rather than theoretical methods
Training Course Objectives
At the end of this training program, participants will be able to:
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Determine the meaning of compliance within their organization and develop appropriate organizational responses
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Understand compliance requirements inside and outside the organization
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Identify what drives compliance exposure domestically and internationally
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Understand the consequences of non-compliance risks
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Appreciate the relationship between corporate governance and compliance, including market expectations
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Assess the relationship between governance and compliance structures
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Produce a corporate compliance program tailored to their organization
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Improve the regulatory structure of compliance
Personal Benefits
Participants will learn to:
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Appreciate the extent of exposure organizations and public officers face in today’s increasing regulatory environment
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Identify the compliance issues most relevant to their role
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Introduce and strengthen a compliance management program within their organization
Target Audience
This highly practical course is designed for:
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Directors and Senior Managers
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Company Secretaries
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Compliance Professionals
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Risk Managers
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Legal Advisers and Lawyers
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In-House Corporate Counsel
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Auditors and Audit Managers
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Compliance Officers and Managers
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Anyone responsible for compliance affairs or regulatory relations
Training Outlines
Day 1
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Introduction to compliance
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The role of compliance
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Business management functions
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Control frameworks
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The power of technology
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Institutional risk management
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Quality management
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Promoting a culture of accountability
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Environment and the role of regulators
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Legal obligations and due diligence
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Organizers and supervisors
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Licenses and authorizations
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Commercial effects
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Introduction to regulatory requirements analysis
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Overview of regulatory authority requirements
Day 2
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Disciplinary actions
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Compliance and the role of corporate governance
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What is corporate governance?
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Principles of corporate governance
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Duties and responsibilities of managers
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Introduction to foreign corruption laws
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Protecting stakeholder interests
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Business ethics
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Reporting irregularities
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Regulatory interactions
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Corporate constitution and governance structure
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Rules of conduct
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Independence and separation of duties
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Customer information
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Reward policies
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Discussion on regulation and compliance requirements
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Responsibility for compliance
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Compliance monitoring methodologies (management)
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Compliance monitoring methodologies (compliance officer)
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Management structure options and their impact on compliance
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Elements of compliance policies
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Stakeholders
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Definitions of compliance officer duties
Day 3
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Summary of compliance risks and evaluations
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Functional structures for compliance
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Compliance risk management
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Independence in compliance operations
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Examples of policies, brochures, and working papers
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Formats vs. materials
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Operational procedures and evidence
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Legal, regulatory, and supervisory procedures
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Assessing whether existing structures achieve desired outcomes
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Overcoming shortcomings in compliance functions
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Record-keeping
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Monitoring processes
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Starting points for compliance monitoring
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Risk assessment methodologies
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Ranges and restrictions
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Independent monitoring
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Statistical and non-statistical sampling
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Complaints handling
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Worksheets
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Review processes for assessing compliance risk management implementation
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Introduction to anti-money laundering
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International responses to money laundering, economic crime, cybercrime, and terrorism
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FATF guidelines
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Legal requirements
Day 4
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Non-compliance and its ramifications
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Risk management
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PEPs (Politically Exposed Persons)
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Developing AML review plans
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Compliance and business ethics
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Ethics and corporate accountability
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Reading and interpreting legislation
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COSO framework
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Corporate Law Reform (White Paper)
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Data Protection Act (Europe)
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Basel Convention
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Data protection fundamentals
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Corporate ethics guidelines for compliance programs
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Selecting compliance strategies for different environments and industries
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Workplace conflicts
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Conflicts of interest
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External relations
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Problem-solving methodologies
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Training methodologies
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Record-keeping
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Best practice principles
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Implementation requirements
Day 5
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Compliance function overview
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Location and structure of the compliance function
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Integration and independence of compliance
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Optimal compliance structure
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Responsibilities of the compliance officer
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Combating bribery and corruption
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Whistleblowing programs and legal considerations