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News on regulatory requirements, innovations, and challenges in customer identification, risk assessments, and due diligence processes for financial institutions.

Anti-Money Laundering
Unraveling the Web: How Complex Structures Can Undermine AML Compliance
By Nathan Lynch | 19/05/2025
Former APG executive secretary Gordon Hook highlights the need for vigilance and nuanced due diligence to combat illicit fund flows through complex corporate structures.

Trade Based Money Laundering
Trading in the Dark: TBML in the Spotlight for AML Compliance Teams
By Nathan Lynch | 15/05/2025
Robust TBML controls can help to protect banks and against fraud, sanctions violations, and systemic risks, writes Nathan Lynch.

Anti-Money Laundering
ABS Releases New AML/CFT Guidance for Wealth Management Sector
By Manesh Samtani | 14/05/2025
Two best practice papers were released, one on SoW due diligence and the other on risks in the wealth management sector.

KYC & CDD
Taiwan Implements Stricter Rules on Structured Product Sales
By Manesh Samtani | 14/05/2025
The new rules are intended to address mis-selling and protect vulnerable investors from unsuitable financial products

Fraud, Scams & Cybercrime
Korea to Tighten ID Checks at Lenders to Combat Voice Phishing
By Editors | 12/05/2025
Specialised credit finance companies and larger loan businesses will be required to implement stricter identity verification

Fraud, Scams & Cybercrime
Southeast Asia’s Evolving Scam Landscape: Brute Force and ‘Poly-Criminality’
By Nathan Lynch | 07/05/2025
Rebecca Miller discusses the evolution of scam centres in Southeast Asia and the role of the financial sector in combatting this crime.

Fraud, Scams & Cybercrime
The Skinny on Scams: Australia, Hong Kong, and Singapore Focus on Financial Deception
By Nathan Lynch | 06/05/2025
Nathan Lynch explores the lessons from the different approaches to managing the sophistication and scale of the burgeoning “scam industry”.

Structural Regulation
SEBI Consults on Framework for Orderly Exit of KYC Registration Agencies
By Nithya Subramanian | 06/05/2025
KRAs would be required to develop a Standard Operating Procedure to ensuring continuity of services in the event of voluntary exit or involuntary cessation of operations.

KYC & CDD
India Enhances Framework for GIFT City Bullion Market
By Nithya Subramanian | 05/05/2025
The IFSCA has extended the trading hours of IIBX, eased entry barriers for investors, and tightened due diligence rules for vault managers.

Cryptocurrency
South Korea Eases Crypto Restrictions, Tightens Listing Rules
By Manesh Samtani | 05/05/2025
South Korea eases rules on virtual asset sales for NPOs and crypto exchanges while tightening listing rules to enhance market stability and investor protection.
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