Compliance Officer Bulletin helps compliance officers and their advisers keep up to date with the unending series of changes to the UK regulatory regime. It provides unrivalled commentary and analysis on how FSA regulations impact on compliance officers and their business.
- Presents comprehensive and jargon-free guidance on financial markets regulation
- Offers timely guidance – published 10 times a year
- Covers a specific regulatory area in depth in each issue – from the complaints process to FSA investigations, from money laundering to conduct of business and from Basel to corporate governance
- Gives practical advice on current issues and how best to manage them