Written for law firms advising financial services clients and UK financial services professionals, this fully revised volume is packed with practical, expert guidance on how best to comply with the Senior Managers & Certification Regime (SM&CR).
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Stacey English has over 25 years' regulatory risk, compliance and audit experience within the financial services as a regulator, practitioner and adviser, giving her an extensive and unique view of conduct in the industry.
Stacey began her regulatory career with the UK regulator, now the FCA, where she led supervisory inspections and mis-selling investigations within banks and insurers and developed new rules and guidance for the financial services industry. She also spent two years as an internal auditor inspecting the conduct of the UK regulator itself. As an industry practitioner she specialised in risk management predominantly within the insurance sector, developing and embedding enterprise-wide risk management at Aviva and Lloyd's of London, and as an adviser to start up Lloyd's managing agents. She joined Barclays as head of governance, reporting and intelligence shortly before the global financial crisis unfolded.
As head of global regulatory intelligence for Thomson Reuters, Stacey was responsible for expert analysis of regulatory developments from global regulators and providing insight, industry thought leadership and benchmarking to tens of thousands of compliance, risk and regulatory professionals worldwide.
Stacey is now the Director of Regulatory Intelligence for Theta Lake, providing governance and compliance solutions for the digital unified communications central to that underpin the modern workplace. For the last five years she has been an Honorary Fellow of Cambridge Judge Business School providing expert guidance to the Cambridge Centre for Alternative Finance.
Stacey is a Chartered Certified accountant with the highest results worldwide; she has first class degrees in BSc (Hons) Applied Accounting and BA (Hons) Business Administration; and completed the Oxford Artificial Intelligence Programme through Saïd Business School. She also holds the Chartered Insurance Institute's Certificate in Financial Planning and is a Member of the Chartered Institute of Securities and Investments, the Personal Finance Society and the Chartered Insurance Institute.
https://www.linkedin.com/in/stenglish/; @regexperts
Susannah Hammond has over 30 years' wide-ranging experience in international and UK financial services.
A chartered accountant and chartered fellow of the Chartered Institute for Securities and Investment, Susannah began her compliance career at SG Warburg where she became head of European compliance. She was the global head of compliance and a founding employee of Caspian Securities before joining PricewaterhouseCoopers as a consultant. Susannah was also head of international regulatory risk for the Halifax Group and became head of retail regulatory risk for HBOS plc upon Halifax's merger with Bank of Scotland. Before joining Thomson Reuters, she was head of compliance at GE Capital Bank.
In her role as senior regulatory intelligence expert, Susannah shared her extensive experience with Thomson Reuters Regulatory Intelligence customers writing some of the most-read articles on the site. She was co-author of a series of special survey reports which have been downloaded by tens of thousands of firms, regulators, lawyers and consultancies around the world. Susannah was the founder and inaugural host of the Compliance Clarified podcast and regularly attracts large audiences at events and webinars and is a much sought after speaker and commentator on financial services regulation.
Susannah is now senior regulatory intelligence expert at CUBE, a leading provider of regulatory intelligence solutions.
Well known and highly respected throughout the industry, Susannah brings a deep understanding of the unique challenges facing today's senior managers in financial services and the need for clarity on their risk management and compliance obligations in order to identify, manage and mitigate the daily challenges faced.
https://www.linkedin.com/in/susannahhammond/
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Paperback. Zustand: new. Paperback. "An invaluable source of accurate regulatory compliance information to draw from. Well laid out, clear and detailed." - Rocky Hirst, EMEA Head of Compliance for EMEA Institution Credit Management, Citi"I am finding it a real treasure trove, and truly practical." - Kathy Jacobs, Director Consultant, Regionvale "A brilliant book which is very useful and essential reference in my everyday work. I have also recommended it to colleagues." - Djan Direk Chartered FCSI, FICA, CAMS, Manager - Compliance Monitoring, Assurance and Governance at First Abu Dhabi Bank"My thanks to you for producing such a brilliant piece of work. It has helped me understand the UK financial industry." - Rishikesh Sharma, Senior Counsel - Government of India The Honourable Society of The Inner Temple, London*Conduct and Accountability in Financial Services: A Practical Guide provides comprehensive, practical and expert guidance on how best to comply with the Senior Managers & Certification Regime. The Second Edition has been fully revised to include:- The FCAs consultation on the proposed update to SM&CR- An expanded chapter on technology in a post pandemic hybrid world- Coverage of the Consumer Duty - Overarching principles of how to manage personal regulatory risk- An overview of related global developments- Recent enforcement actions and the lessons to be learned.This is a must-read text for all staff in UK financial services firms, professional associations, industry bodies, regulators, academics and advisers to financial services organisations.This title is included in Bloomsbury Professionals Banking and Finance Law online service.*Reviews of a previous edition Written for law firms advising financial services clients and UK financial services professionals, this fully revised volume is packed with practical, expert guidance on how best to comply with the Senior Managers & Certification Regime (SM&CR). Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Bestandsnummer des Verkäufers 9781526529060
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Paperback. Zustand: New. "An invaluable source of accurate regulatory compliance information to draw from. Well laid out, clear and detailed." - Rocky Hirst, EMEA Head of Compliance for EMEA Institution Credit Management, Citi"I am finding it a real treasure trove, and truly practical." - Kathy Jacobs, Director Consultant, Regionvale "A brilliant book which is very useful and essential reference in my everyday work. I have also recommended it to colleagues." - Djan Direk Chartered FCSI, FICA, CAMS, Manager - Compliance Monitoring, Assurance and Governance at First Abu Dhabi Bank"My thanks to you for producing such a brilliant piece of work. It has helped me understand the UK financial industry." - Rishikesh Sharma, Senior Counsel - Government of India The Honourable Society of The Inner Temple, London*Conduct and Accountability in Financial Services: A Practical Guide provides comprehensive, practical and expert guidance on how best to comply with the Senior Managers and Certification Regime. The Second Edition has been fully revised to include:- The FCA's consultation on the proposed update to SMandCR- An expanded chapter on technology in a post pandemic hybrid world- Coverage of the Consumer Duty - Overarching principles of how to manage personal regulatory risk- An overview of related global developments- Recent enforcement actions and the lessons to be learned.This is a must-read text for all staff in UK financial services firms, professional associations, industry bodies, regulators, academics and advisers to financial services organisations.This title is included in Bloomsbury Professional's Banking and Finance Law online service.*Reviews of a previous edition. Bestandsnummer des Verkäufers LU-9781526529060
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