Financial services professionals engage our team for assistance at every stage of the business lifecycle for both domestic and cross-border jurisdictional assignments.
Kroll’s Financial Services Compliance and Regulation practice combines a financial services focus, real world experience, independence and a united global team to help clients:
Financial services clients engage us to assist at every stage of the business lifecycle to meet regulatory requirements, mitigate risks and navigate the rapidly changing regulatory landscape.
Our team has technical expertise in specialties including governance and individual accountability, conduct and culture, risk and compliance, financial crime (including AML and sanctions), capital markets (including market abuse and transaction reporting), ESG, client monies/assets, and operational and enterprise risk.
With a deep pool of talent, our industry experts bring unrivalled experience and insight to our clients with advice that is tailored and relevant to their specific requirements and business.
Private Equity Wire US Awards | |
Private Equity Wire European Awards 2023 |
Kroll analyzed global data from 400 senior leaders across three continents to gain insights into the current financial crime landscape and learn how technology might stop the threat of economic, crypto and ESG crimes.
Key findings from the report include:
Comprehensive support for asset managers registering in the U.S.
Comprehensive compliance and regulatory support for FCA authorized firms.
Expert compliance advice to Asia financial institutions.
Comprehensive compliance and regulatory support for EU firms.
Assistance to develop, implement, and manage global compliance and regulatory consulting programs.
Kroll operates regulated platforms for private funds and UCITS clients through our UK hosted regulatory solution and Luxembourg- and Ireland-based management companies.
In this webinar, Kroll's experts discussed key takeaways from this year's Fraud and Financial Crime report and strategies for getting ahead in the evolving fight against fraud and financial crime.
by Tammy Li, Matt Austen
by Ken C. Joseph, Esq., Jonathan "Yoni" Schenker, Ana D. Petrovic, Ken D’Aurizio
by Matteo Basso, Tammy Li, Jon Hunsdon, Vishan Singh
by Ken C. Joseph, Esq., David Larsen, Alyssa Heim, Anna Povinelli
Kroll’s Regulatory Advice and Consulting specialists provide insight on the regulatory change now approaching the financial services industry and discuss the FCAs intention to place clear accountability for compliant implementation of the Consumer Duty.
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