Compliance Risk Management will equip learners with the expertise needed to identify, manage, and mitigate compliance risks within financial institutions. This course explores key areas such as Anti-Money Laundering (AML) and Know Your Customer (KYC) processes, offering a comprehensive understanding of how these frameworks protect institutions from legal and reputational risks.
Learners will engage in practical exercises, using examples of real-life compliance risk failures to deepen their understanding. The course also covers essential strategies for maintaining effective compliance programs that adhere to global regulations. By the end of the course, participants will be able to confidently contribute to the implementation of effective compliance programs, ensuring their organizations remain compliant and resilient in a rapidly evolving regulatory environment.
This course is ideal for compliance officers, risk managers, and financial professionals responsible for ensuring that their institutions adhere to regulatory standards and manage compliance risks effectively. It is also suitable for senior management and board members who need a deeper understanding of compliance risk to oversee and support their organization’s risk management strategies.
Level 2
40min
100% online and self-paced
Field of Study: Finance
Start LearningWhy stop here? Expand your skills and show your expertise with the professional certifications, specializations, and CPE credits you’re already on your way to earning.