(Compliance) Risk Mngt & Control Strategy

[Webinar] Navigating Climate-related Risks Requirements for Fund Managers

概要

The Securities and Futures Commission (SFC) amended the Fund Manager Code of Conduct (FMCC) to require Fund Managers managing collective investment schemes (CIS) to take climate-related risks into consideration in their investment and risk management processes and make appropriate disclosures. This seminar provides an overview of key requirements, including governance, investment management, risk management and disclosure.

內容

1. Overview of SFC’s requirements

2. Applicability of the requirements

3. Relevance and materiality assessment

4. Requirements under the Fund Manager Code of Conduct (FMCC)
• Governance
• Investment Management
• Risk Management
• Disclosures

對象

The webinar is primarily targeted at fund managers, asset managers, in-house counsel & compliance, senior management such as Responsible officers, Managers-in-Charge, directors, CIOs, COOs, CEOs and financial institutions and investors who would like to have a better understanding of current issues in climate-related risks requirements.

資產財富管理業先導計劃 - 專業培訓資助計劃

本課程已被審批為「提升資產財富管理業人才培訓先導計劃」(以下簡稱「資產財富管理業先導計劃」 其下之「專業培訓資助計劃」(以下簡稱「本計劃」)。本計劃旨在提升資產財富管理業在職從業員的專業能力水準及協助金融服務業內其他從業員學習所需的知識和技能,使他們能投身資產財富管理業。合資格之申請人按香港證券及投資學會之要求完成課程後將可獲香港特區政府資助80%學費,上限為HK$15,000。 香港證券及投資學會為資產財富管理業先導計劃之執行機構,有關申請要求之細則及手續,請參閱專為資產財富管理業先導計劃而設之網站(https://www.wamtalent.org.hk/)。

[重要通知]

[專業培訓資助計劃]申請截止日期: 隨著計劃將於2026年3月31日完成,計劃將有序停止接受申請。計劃將不會接受就於2025年12月31後完成的課程之學費發還申請,並將於2026年1月31後停止接受所有學費發還申請。申請人須遵循「申請人須知」中概述的申請要求,透過線上系統提交網上申請表及上載所需的證明文件,並將已簽妥的申請表列印本,連同香港身份證副本,於課程完成日期起計四個月內或於2026年1月31日或之前(以較早者為準)遞交至香港證券及投資學會辦事處。為免生疑問,凡於2025年10月1日至2025年12月31日期間(包括首尾兩天)完成之課程,其申請必須於2026年1月31日或之前遞交。逾期或不完整的申請將不予受理。

導師/講者

翁志廣
Kevin is the Director of Optima Partners, responsible for regulatory compliance consulting services to global fund managers. He had strong experience and understanding of regulatory requirements of fund managers (hedge funds, private equity funds, private credit funds, real estate funds) in relation to SFC, SEC (Registered Investment Advisors & Exempt Reporting Advisors), CFTC and MAS regulations.

Kevin joined from the Intermediaries Supervision Department of the Securities and Futures Commission (SFC), responsible for ongoing supervision and inspections of licensed corporations. Prior to that, Kevin worked in Asset Management Industry Group of PricewaterhouseCoopers (PwC).

Kevin is an active contributor to the asset management industry. Kevin was appointed as a member of HKICPA Securities Regulatory Advisory Panel, which is comprised of experienced industry practitioners.

He is a Certified Public Accountant (CPA), Chartered Financial Analyst (CFA) and Certified Anti-money Laundering Specialist (CAMS). He holds Bachelor of Business Administration in Professional Accountancy and Master of Laws (Compliance and Regulations) degrees.

詳情

活動編號
TPRRM25005102
日期及時間
2025年11月13日, 星期四 (12:30下午 - 1:30下午)
地點
虛擬平台
相關主題
第9類 - 提供資產管理
監管合規
語言
Trad. Chi / 廣東話
課程時數
SFC:1.00, PWMA:1.00
費用
所有會員: HK$290
機構會員員工: HK$290
香港中資証券業協會(HKCSA): HK$405
非會員: HK$580
香港證券及投資學會員工: HK$0
榮譽資深會員(FHKSI(Hon)): HK$0