Compliance, Legislative & Regulatory Standards

[Webinar] AML/CFT in the Cayman Islands Regime

Overview

The course summarises the main provisions of the Guidance Notes on the Prevention and Detection of Money Laundering and Terrorist Financing in the Cayman Islands and Guidance Notes Amendments. It also covers the procedures and controls in relevant operational areas to comply with the regulatory requirements.

Objective

Hong Kong asset management industry has tendency to incorporate funds in Cayman Islands. After completion of the course, participants will be able to understand and comply with the regulatory requirements of the Cayman Islands Monetary Authority.

Content

1. What is money laundering and terrorist financing?
2. Overview of the AMLR and related Guidance Notes in Cayman Islands
3. Effective management and internal controls
4. Risk assessment of customers
5. Identification and verification requirement (Cayman Islands)
6. Certification of documents
7. Simplified due diligence and enhanced due diligence
8. High risk customers
9. Sanctions
10. Reliance on third parties
11. Customer reviews and monitoring
12. Record keeping
13. Reporting of suspicious activities (Cayman Islands)
14. Training
15. Warning signs to mutual funds (Cayman Islands)

Who should attend

Fund managers, asset managers and anyone who would like to have a better understanding of the AML/CFT practice in the Cayman Islands.

Financial Incentive Scheme of the WAM Pilot Programme

This course has already been approved as an eligible course of the Financial Incentive Scheme for Professional Training (“the Scheme”) under the Pilot Programme to Enhance Talent Training for the Asset and Wealth Management Sector (“the Pilot Programme”). The Scheme aims to enhance the competency and professionalism of in-service practitioners within the asset and wealth management sector and to assist other practitioners within the financial services industry in acquiring the knowledge and skills required for entering the sector. Eligible applicants will be subsidised 80% of the course fees by the HKSAR Government upon satisfactory completion of the courses approved by Hong Kong Securities and Investment Institute, subject to a ceiling of HK$15,000. Hong Kong Securities and Investment Institute is appointed as the implementation agent of the Pilot Programme. Regarding the details of eligible criteria and application procedures, please refer to the dedicated web-site of the Pilot Programme (https://www.wamtalent.org.hk/).

Speaker/Course Instructor

Stella LAM
Ms Lam is both an experienced banker, and a seasoned trainer. Having gained a decade of experience in consumer banking and branch management at an international leading bank, she made a shift to the learning and development field - she was a university teaching staff, and she led the personal banking training department in different banks. She is now an independent consultant to various financial institutions.

Ms Lam graduated from the University of Manchester Institute of Science and Technology. She then attained Master in Finance from the City University of Hong Kong and Master in Human Resource Management and Training from the University of Leicester. She is an Associate of the Chartered Institute of Bankers and a Certified Banker. She also gained the CFPCM Examination Certificate and the Professional Certificate for ECF Anti-Money Laundering and Counter-Financing of Terrorism.

Details

Code
TPRCR23009402
Date & Time
Friday, 2 Jun 2023 (12:00PM - 2:00PM)
Venue
Virtual Platform
Relevant Subject
Type 9 - Asset management
Regulatory Compliance
Language
Trad. Chi / Cantonese
Hours
SFC:2.00, PWMA:2.00