FCA Compliance Essentials
A Comprehensive eLearning Library
London Governance & Compliance Academy
Summary
- Certificate of Completion - Free
Add to basket or enquire
Overview
Begin your journey in compliance management with practical knowledge of the laws and legislations that make up the regulatory field in the United Kingdom.
Do you know that FCA sets an annual CPD requirement both for senior managers and employees of financial service firms?
As per TC 2.1.15 & 2.1.16, the requirement is 35 hours in each 12 months, including 21 hours of structured CPD activities.
Furthermore, TC 2.1.20G27/05/2022 defines structures CPD activities as follows:
“Examples of structured continuing professional development activities include participating in courses, seminars, lectures, conferences, workshops, web-based seminars or e-learning.”
Our FCA Compliance Essentials Bundle, fulfilling and even exceeding the FCA requirement in terms of CPD hours, is ideal for any professional within Financial Services.
LGCA's FCA Compliance Essentials Bundle provides you with a unique opportunity to access courses of £ 2,400.- overall value for just a fraction of their price.
Certificates
Certificate of Completion
Digital certificate - Included
CPD
Description
LGCA's FCA Compliance Essentials eLearning library currently includes the following courses:
- AML Risk Assessment
- AML Suspicious Activity Reports and Suspicious Transaction Reports (SAR/STRs)
- Anti-Bribery and Corruption
- Anti-Money Laundering and Counter Terrorist Finance
- Approved Persons Regime
- Assessing and Managing AML Risks
- Building an AML Risk-based Approach
- CASS Introduction
- Complaints Handling
- Compliance Introduction
- Compliance Monitoring and Testing
- Conduct Rules for All Staff
- Conflict of Interest (COI)
- Consumer Duty
- Establishing and Maintaining a Strong CDD Programme
- Ethics, Integrity and Fairness in Financial Services
- FCA: the Role and Approach
- Financial Promotions Regulation
- Fraud Detection and Prevention
- GDPR Awareness
- Introduction to Cybersecurity
- Introduction to Know Your Client (KYC) and Customer Due Diligence (CDD)
- Market Abuse (MAR)
- Operational Resilience
- Senior Managers and Certification Regime
- SM&CR – The Conduct Rules
- Suspicious Transactions/Activity Reporting
- The Value of Customer Due Diligence (CDD)
- Treating Customers Fairly
- Vulnerable Customer Management
- Whistleblowing
- Creating a Compliance Culture in Financial Services
- UK Money Markets Code
- Prudential Regulation
- ICARA
Who is this course for?
- Financial Services Providers
- Accounting Offices
- Financial Institutions
- Brokers
- Wealth & Fund Managers
- Investment Firms
- Insurance Companies
- Law Firms
- Compliance Consultants
- Payment Solutions Providers
- FinTech & RegTech Companies
- Fiduciary Services Firms
Questions and answers
Currently there are no Q&As for this course. Be the first to ask a question.
Reviews
Currently there are no reviews for this course. Be the first to leave a review.
Legal information
This course is advertised on Reed.co.uk by the Course Provider, whose terms and conditions apply. Purchases are made directly from the Course Provider, and as such, content and materials are supplied by the Course Provider directly. Reed is acting as agent and not reseller in relation to this course. Reed's only responsibility is to facilitate your payment for the course. It is your responsibility to review and agree to the Course Provider's terms and conditions and satisfy yourself as to the suitability of the course you intend to purchase. Reed will not have any responsibility for the content of the course and/or associated materials.