1.

Record Nr.

UNINA9910817457203321

Autore

Kotz H. David

Titolo

Financial regulation and compliance : how to manage competing and overlapping regulatory oversight / / H. David Kotz

Pubbl/distr/stampa

Hoboken, New Jersey : , : Wiley, , 2015

©2015

ISBN

1-118-97222-8

1-118-97224-4

1-118-97223-6

Edizione

[1st edition]

Descrizione fisica

1 online resource (251 p.)

Collana

Wiley Finance Series

Disciplina

346.73/08

Soggetti

Financial institutions - Law and legislation - United States

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Note generali

Includes index.

Nota di bibliografia

Includes bibliographical references and index.

Nota di contenuto

Jurisdiction of regulators : who regulates whom and what -- How to strengthen governance and compliance in light of new regulations -- How to manage whistleblowers : complaints -- How to defend SEC examinations.

Sommario/riassunto

"Devise an organized, proactive approach to financial compliance  Financial Regulation and Compliance provides detailed, step-by-step guidance for the compliance professional seeking to manage overlapping and new regulatory responsibilities. Written by David Kotz, former Inspector General of the SEC with additional guidance provided by leading experts, this book is a one-stop resource for navigating the numerous regulations that have been enacted in response to the financial crisis. You'll learn how best to defend your organization from SEC, CFTC, FINRA, and NFA Enforcement actions, how to prepare for SEC, FINRA, and NFA regulatory examinations, how to manage the increasing volume of whistleblower complaints, how to efficiently and effectively investigate these complaints, and more. Detailed discussion of the regulatory process explains how aggressive you should be in confronting federal agencies and self-regulatory organizations and describes how commenting on issues that affect your business area can be productive or not. The companion website includes a glossary of



terms, regulations and government guidance, relevant case law, research databases, and FAQs about various topics, giving you a complete solution for keeping abreast of evolving compliance issues. These days, compliance professionals are faced with a myriad of often overlapping regulatory challenges. Increased aggressiveness on the part of regulators has led to increased demand on financial firms, but this book provides clear insight into navigating the changes and building a more robust compliance function.  Strengthen internal compliance and governance programs   Manage whistleblower programs and conduct effective investigations   Understand how to minimize exposure and liability from Enforcement actions   Learn how to prepare for the different types of regulatory examinations   Minimize exposure from FCPA violations   Understand the pros and cons of commenting on regulations    The volume and pace of regulatory change is causing new and diverse pressures on compliance professionals. Navigate the choppy waters successfully with the insider guidance in Financial Regulation and Compliance"--