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FINANCIAL & CAPITAL MARKETS

Compliance training and certification

Compliance training and certification requirements in Financial & Capital Markets are tightening, with the U.S. Securities and Exchange Commission and the Financial Industry Regulatory Authority both intensifying scrutiny of whether firms can document that personnel understand their obligations, not just that training occurred. The European Banking Authority has pushed similar expectations into its supervisory priorities, tying certification gaps directly to governance findings. Firms are updating training attestation records and role-based curriculum maps now, before examination cycles make those gaps visible.

Watch

  • FINRA Rule 1240 continuing education overhaul: revised Regulatory Element content deadlines
  • SEC examination priority letters citing inadequate ethics training documentation at registered advisers
  • EBA supervisory convergence guidelines on AML training frequency for front-office staff
  • MiFID II competence and knowledge requirements: national regulator enforcement diverging across EU member states

Recent material activity in Financial & Capital Markets

  • Jul 25, 2026 MATERIAL

    SEC seeks public comment on extending Rule 13f-2 short position reporting collection under institutional investment manager regime

    The SEC published a proposed collection extension notice on July 27, 2026 for the information collection requirements under Rule 13f-2, which governs short position and short activity reporting by institutional investmen…

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  • Jul 25, 2026 MATERIAL

    RBI extends supervisory directions over Sonpeth Nagari Sahakari Bank Maryadit by three months to October 30, 2026

    The Reserve Bank of India has extended its binding supervisory directions over Sonpeth Nagari Sahakari Bank Maryadit, Sonpeth, Maharashtra. The extension runs from July 30, 2026 to October 30, 2026, subject to review, wi…

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  • Jul 25, 2026 MATERIAL

    RBI extends supervisory directions over Irinjalakuda Town Co-operative Bank by three months to October 30, 2026

    The Reserve Bank of India extended its supervisory directions over The Irinjalakuda Town Co-operative Bank Ltd., Kerala on July 24, 2026. The extension runs three months, from close of business on July 30, 2026 to close …

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  • Jul 25, 2026 MATERIAL

    SEBI issues final quasi-judicial order against front-running of Axis Mutual Fund trades

    SEBI's Enforcement Division issued a final order on July 24, 2026 concluding proceedings against parties who front-ran trades of Axis Mutual Fund. The order resolves a named enforcement action and establishes a concluded…

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  • Jul 25, 2026 MATERIAL

    SEBI issues ex parte interim order against Stark Investments and associates for unregistered investment advisory and portfolio management operations

    SEBI issued an ex parte interim order on July 24, 2026 against Stark Investments and associated persons for conducting unregistered investment advisory and portfolio management services. The order reflects SEBI's sustain…

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  • Jul 25, 2026 MATERIAL

    SEBI issues quasi-judicial enforcement order against Nalwa Sons Investments Limited

    SEBI's Enforcement Division issued a quasi-judicial order on July 24, 2026 against Nalwa Sons Investments Limited. The specific findings, charges, and remedial directions are not disclosed in the available source text.

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  • Jul 25, 2026 MATERIAL

    SEBI issues quasi-judicial enforcement order against Hexa Tradex Limited

    SEBI's Enforcement Division issued a quasi-judicial order against Hexa Tradex Limited on July 24, 2026. The order originates from SEBI's enforcement directorate, confirming a formal adjudicatory proceeding against the na…

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  • Jul 25, 2026 MATERIAL

    SEBI issues final order against Madhav Stock Vision and associates for front-running violations

    On July 24, 2026, SEBI's Chairperson or a Member issued a final order against Madhav Stock Vision Pvt. Ltd. and associated parties for front-running conduct. The order concludes an enforcement proceeding and carries bind…

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  • Jul 25, 2026 MATERIAL

    SFC issues binding circular restructuring compliance baseline for listed structured funds in Hong Kong

    On July 24, 2026, the Securities and Futures Commission issued a circular setting out conduct, disclosure, and structural requirements for listed structured funds operating in Hong Kong.

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  • Jul 25, 2026 MATERIAL

    SFC reprimands and fines Victory Securities $1.7 million for AML and supervision failures, suspends responsible officer

    On July 24, 2026, the Securities and Futures Commission reprimanded Victory Securities Company Limited and imposed a HK$1.7 million fine for regulatory breaches. The action also suspends a responsible officer, reflecting…

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