Compliance, Legislative & Regulatory Standards

[Webinar] Discharging the Responsibilities of Responsible Officers


Over the years, enforcement activities conducted by the Securities and Futures Commission highlighted a number of compliance issues of which the Responsible Officers (“ROs”) should be aware and take appropriate actions, if any, to ensure that the licenced corporations comply with the regulatory requirement.

This course aims to help ROs discharge their responsibilities on compliance by highlighting some of the common issues derived from enforcement cases and sharing ways to deal with them.


1. Common problems in a licensed corporation with relevant enforcement cases
2. Handling the problems
3. Disciplinary actions and notification to the SFC if warranted

Who should attend

The webinar is primarily targeted for Responsible Officers. Managers-in-charge and directors of licensed corporations are strongly encouraged to attend.

Speaker/Course Instructor

Eugene LEE
Mr Lee was the Head of Legal & Compliance of a financial institution and has held various senior positions in the legal and compliance department in financial services and securities firms. Mr Lee obtained his BCom/LLB from University of New South Wales and MBA from University of South Australia. He is a fellow of Institute of Chartered Accountants Australia and New Zealand, member of the Hong Kong Institute of Certified Public Accountants, fellow of the Financial Services Institute of Australasia and senior fellow of the Hong Kong Securities and Investment Institute.


Date & Time
Wednesday, 26 Jun 2024 (6:30PM - 8:30PM)
Virtual Platform
Relevant Subject
Type 1 - Dealing in securities
Type 2 - Dealing in futures contracts
Type 3 - Leveraged foreign exchange trading
Type 4 - Advising on securities
Type 5 - Advising on futures contracts
Trad. Chi / Cantonese
SFC:2.00, PWMA:2.00