防洗錢、最新監管要求及行為規範

防洗錢、最新監管要求及行為規範

概要

本課程透過監管機構的觀察和調查報告及執法個案,提醒前線銷售人員相關的主要監管要求,並提供對日常業務相關的最新監管發展。

內容

1. 香港防洗錢的情況及新發展

2. 監管機構的觀察和調查報告

3. 最新監管要求及行為規範
- 觸發為客戶提供合理適當建議的責任
- 遵守為客戶提供合理適當建議的責任

4.執法個案

對象

This course is primarily targeted to those licenced individuals who involve in selling of investment products. The participants should have the basic knowledge of regulatory framework in securities and futures industry.

本課程適合銀行、證券行、基金公司之前線銷售人員,參與者應對證券期貨業監管架構有基本認識。

導師/講者

袁茂松
Mr. Monty Yuen, holder of B. Comm. and LLM, has over ten years of experience in different capacities in the financial industry and is currently a senior compliance manager of a financial institution. Prior to that, he was a manager of Enforcement Division of Securities & Futures Commission. Prior to joining the financial industry and the SFC, Mr. Yuen was a senior inspector with the Royal Hong Kong Police Force. Mr. Yuen also successfully obtained the CFP, PFP, CIM, FCSI and CAMS designations

詳情

活動編號
TPRCR17002702
日期及時間
2018年3月5日, 星期一 (6:30下午 - 9:30下午)
地點
香港證券及投資學會培訓中心
語言
廣東話
級別
Advanced
課程時數
SFC:3.00, PWMA:3.00, IA:3.00