Address
304 North Cardinal St.
Dorchester Center, MA 02124
Work Hours
Monday to Friday: 7AM - 7PM
Weekend: 10AM - 5PM
Address
304 North Cardinal St.
Dorchester Center, MA 02124
Work Hours
Monday to Friday: 7AM - 7PM
Weekend: 10AM - 5PM
Course Description:
The Diploma in Financial Regulations & Compliance provides specialized training in regulatory frameworks, compliance requirements, and risk management principles applicable to the financial services industry.
Learning Outcomes:
– Understand the regulatory landscape governing financial institutions and markets.
– Gain proficiency in compliance requirements, including KYC, AML, and regulatory reporting.
– Develop skills to assess and mitigate regulatory and operational risks in financial organizations.
Learning Objectives:
– Learn about major regulatory bodies and their mandates in the financial services sector.
– Understand compliance requirements related to customer due diligence (CDD), anti-money laundering (AML), and counter-terrorist financing (CTF).
– Develop strategies for ensuring compliance with regulatory requirements and implementing risk management frameworks.
Detailed Modules:
– Overview of Financial Regulations
– Regulatory Compliance Frameworks
– Anti-Money Laundering (AML) Regulations
– Know Your Customer (KYC) Requirements
– Regulatory Reporting and Disclosures
– Risk Management and Compliance
Benefits of the Course:
– Comprehensive understanding of financial regulations and compliance principles.
– Enhanced skills in regulatory compliance, risk assessment, and mitigation.
– Recognition as a certified professional in financial regulations and compliance.
Target Audience:
– Compliance officers.
– Risk managers.
– Regulatory professionals in financial institutions.
Course Prospects and Marketability:
– High demand for professionals skilled in financial regulations and compliance.
– Opportunities in banks, insurance companies, investment firms, and regulatory bodies.
– Potential for career advancement to senior compliance and regulatory roles.