Compliance, Legislative & Regulatory Standards

[Webinar] Handling an SFC investigation

概要

The Securities and Futures Commission (“SFC”) has extensive power of investigation. The SFC investigation is an evidence collection process for any possible wrongdoing. As a financial practitioner, it is essential to understand how the SFC conducts the investigation and what should be aware of when handling the investigation.

宗旨

The seminar examines the financial practitioner’s role in the SFC investigations and shares the practical issues in interacting with SFC investigators.

內容

• How does SFC initiate an investigation?
• SFC investigatory powers and recent case laws
• The SFC investigation process
• Financial practitioner’s roles in SFC investigation
- Written enquiries
- Interview
- Search operation
• Practical issues in interacting with SFC investigators

對象

Directors, responsible officers, managers-in-charge and licensed representatives of licensed corporations, compliance officers and risk managers.

導師/講者

黎凱德
Donald is a solicitor, certified public accountant and chartered company secretary. Before working as a regulatory legal counsel of a financial institution, he was a veteran regulator. Donald earned two undergraduate and two post-graduate degrees in accounting and law from universities in Canada, Hong Kong, and the UK. Donald specialises in securities laws. He was a part-time lecturer of Baptist University responsible for teaching “Securities Regulation” to post-graduate students. He is one of the contributing editors of the 2018 and 2019 editions of the SFO: Commentary and Annotations.

詳情

活動編號
TPRCR22017701
日期及時間
2022年11月24日, 星期四 (6:30下午 - 8:30下午)
地點
虛擬平台
相關主題
第1類 - 證券交易
第2類 - 期貨合約交易
第3類 - 槓桿式外匯交易
第4類 - 就證券提供意見
第5類 - 就期貨合約提供意見
更多
語言
英文
課程時數
SFC:2.00, PWMA:2.00