Changing Function of Compliance

Regular price €179.80
A01=Sharon Ward
advanced compliance risk management
Author_Sharon Ward
Basel Principles
Category=KC
Category=KFCM
Category=KJC
Category=KJMV
Category=KNS
Compliance
Compliance Activities
Compliance Environment
Compliance Framework
Compliance Function
Compliance Officer
Compliance Personnel
Compliance Professionals
Compliance Risk
Compliance Role
Corporate governance
enforcement policy analysis
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
ESMA
FCA
Federal Reserve
financial sector oversight
Financial Services Environment
Financial Services Industry
Financial Services Regulation
FSA
international supervision standards
Kweku Adoboli
MiFID
organisational risk controls
PRA
practitioner compliance strategies
Regulated Firm
regulatory change adaptation
Regulatory compliance
Regulatory Risk
Regulatory Risk Management
Risk management
Sib
Vice Versa

Product details

  • ISBN 9781032556482
  • Weight: 720g
  • Dimensions: 174 x 246mm
  • Publication Date: 18 Sep 2023
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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As risks arising within the business environment grow in size and complexity, so too do the regulatory requirements put in place to manage them. The pace of regulatory change is itself a significant business risk, and compliance departments are under increasing pressure to keep up with the change and adapt their organisations accordingly. This new edition of what has become an indispensable guide to regulation compliance brings readers up to date with changing areas of focus and provides guidance for regulated firms and regulators alike.

The Changing Function of Compliance considers the relationship between regulation and compliance as well as key influences on both, offering insight into the effectiveness of current approaches and addressing practical compliance challenges. It explains the purpose and development of regulatory risk management and the existing regulatory environment, and provides a detailed exploration of the compliance function, explaining how the role might be strengthened and how best to approach the role to enable it to be effective. This practical and accessible handbook includes a mix of hands-on advice, examples and research based on the experiences of practitioners, educators and regulators drawn from across a wide range of jurisdictions and sectors.

This book is an essential read, whether you are concerned about the growing and changing implications of regulatory risk, the benefit of leveraging additional value from your compliance function or your own compliance role or ways of transforming and sustaining the function to ensure its continued relevance to the business.

Sharon Ward is an experienced regulatory compliance specialist. A compliance professional since the mid-1990s, Sharon is a former senior practitioner active in the development of professional education in this field throughout the past two decades, initially in her operational roles with the International Compliance Association and thereafter as its Chief Examiner (GRC). She has developed, taught on and written for a range of governance, risk and compliance-related programmes to Master’s level, both in the UK and internationally, contributing to key industry initiatives. Formerly Module Director for the Financial Services Compliance elective of the Chartered Banker MBA (CBMBA) and Editor of the Journal of Business Compliance, Sharon is a fellow of the ICA and of the Chartered Institute of Educational Assessors. Her work in this area continues through research, development projects, teaching and assessment.