Combating Financial Crimes and Frauds
This module shares practical knowledge and experience of formulating internal control measures and surveillance programs to guard against such misconducts as money laundering, investment scams, insider dealing and market manipulation. Regulatory updates on hot topics and selected enforcement cases are also discussed in the class.
For private classes, please contact us at (852) 2116 3328 for more details.
Attendance e-cert is provided upon completion of an assessment quiz
SFC licensed persons of various regulated activities, compliance officers, risk managers, internal/external auditors, lawyers, middle/back office personnel
Mr. Jack Tsang (CFA, FRM, LLM)
Jack Tsang is the Head of Compliance of a listed financial services group, practicing securities compliance for over 20 years. Prior to joining the compliance field, he had been a regulator working in the Securities and Futures Commission. He has also accumulated near 20 years of experience in providing both in-house and public compliance trainings to thousands of practitioners in the financial industry.