Enrolment options
This course focuses on the key components of risk management and regulatory reporting under the FCA's regulatory framework. It is designed for financial services professionals responsible for risk oversight, reporting, and compliance within their firms. Participants will learn how to implement effective risk management strategies, ensure accurate and timely regulatory reporting, and navigate the FCA's supervisory expectations.
The course covers the role of the FCA in supervising firms' risk management processes, regulatory reporting obligations, and the consequences of non-compliance. Through interactive sessions and case studies, participants will gain a clear understanding of how to identify, assess, and mitigate risks while maintaining compliance with FCA regulations. By the end of the course, attendees will be able to build strong risk management frameworks and ensure that their firm's reporting processes align with FCA requirements.
This program is ideal for risk managers, compliance officers, finance professionals, and senior leaders who oversee risk and regulatory functions.