Financial Crime

    Anti-Bribery & Corruption

    Goldman Banker Tim Leissner Banned for Life in Hong Kong

    By Editors | 04/07/2019

    Leissner’s conduct in relation to the Malaysian state fund 1MDB called into question his fitness and properness to be a licensed person, the SFC said.

    Emerging Prudential Risks

    RBI to Review Framework for Core Investment Firms

    By Editors | 04/07/2019

    Concerned that oversight of increasingly complex core investment firms is now inadequate, the RBI has set up a working group to review its framework.

    Cybersecurity

    Asia Ahead of Other Regions in FinTech: IMF

    By Editors | 04/07/2019

    Policymakers are facing a balancing act between keeping up with the pace of fintech development and trying to ensure risks are well understood and mitigated.

    Supervision & Enforcement

    Hong Kong Hedge Fund Penalised by CFTC, CME

    By Editors | 04/07/2019

    Elephas Investment Management was found to have violated wheat futures speculative position limits established by the CFTC.

    Structural Regulation

    SFC Gains Access to Mainland Audit Papers for Investigations

    By Editors | 04/07/2019

    The MOF and CSRC agree to provide the “fullest assistance” in response to SFC requests for investigative assistance regarding the provision of audit working papers.

    Conduct, Culture & Accountability

    Regulatory Change the Single Biggest Compliance Challenge

    By Editors | 02/07/2019

    Financial crime, culture & conduct risk, personal liability and technology are some of the other top compliance challenges cited in the latest Thomson Reuters Cost of Compliance report.

    Anti-Money Laundering

    Hong Kong Welcomes FATF ‘Overall Compliant’ Result

    By Manesh Samtani | 01/07/2019

    According to a government statement, Hong Kong was found to be particularly effective in the areas of risk identification, law enforcement, asset recovery, counter-terrorist financing and international co-operation.

    Anti-Money Laundering

    FATF Finalises AML/CFT Guidance for Service Providers

    By Editors | 01/07/2019

    New guidance for legal, accounting, and trust and company services professionals highlights the importance of identifying and verifying beneficial ownership information through due diligence.

    KYC & CDD

    SFC Enables Technology Approach for Overseas Client Onboarding

    By Manesh Samtani | 01/07/2019

    From 5 July, intermediaries can access embedded data in client identity documents for onboarding. Captured biometric data such as a facial image can be used for identity verification.

    KYC & CDD

    Wolfsberg Group Publishes CBDDQ Capacity Building Materials

    By Editors | 01/07/2019

    The materials include high level training videos and detailed guidance on the questionnaire, aimed at facilitating its implementation and halting the decline in correspondent banking.

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