Date: 26 May 2023, Friday
Time: 6.30 PM to 7.30 PM (GMT +8)
Venue: Wealth Management Institute, #16-01 One Marina Boulevard, Singapore 018989
The financial sector is dynamic and has grown in size and complexity. The rate of regulatory change is increasing with new business models powered by data and technology, and also to address financial crises and wrongdoings. Navigating the regulatory landscape successfully can make the difference between continued business and customers preserving trust and reputation, and regulatory fines, penalties, impact to compensation, suspension of business or losing one’s licence.
Compliance professionals are in demand to advise on and navigate this landscape and traditional compliance roles are evolving to provide higher value to organisations.
You are cordially invited to join this Expert Series which will cover the changing regulatory landscape, trends and risks in financial services, the role of the Compliance professional, the range of job families available and the skillsets required. It is a great opportunity for interested individuals to explore the wide range of roles in Compliance in the financial services industry.