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Compliance (Wealth Management) |
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ICA Diploma in Compliance (Professional)
Consumer Banking, Fund Management, Insurance, Wealth Management and Wholesale Banking (in association with the University of Manchester Business School)
by International Compliance Association
Programme Synopsis |
The Diploma in Compliance is a cutting-edge professional education programme. Attainment of the qualification is a recognized mark of excellence in compliance. It delivers what compliance professionals need to know in order to understand and better perform day-to-day compliance responsibilities as well as developing and advising firms on strategy, policies, practices and procedures to meet their own requirements. Those who complete the qualification find that performance in the workplace improves and opportunities for career progression are enhanced.
The Diploma modules include:
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The Compliance Function
- Designing an internal compliance system
- Compliance risk
- Compliance and the business unit |
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The Regulatory Environment |
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Regulatory approaches, selected financial sector legislation, codes, etc. entities and related matters |
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The Financial Services industry and regulation of select products |
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Unique features |
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Courses are delivered by ICA – The FICS Lead Provider in Compliance appointed by IBF, MAS and WDA |
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Written and delivered by leading academics and experienced industry practitioners |
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Detailed course materials that can be used in the workplace |
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Aligned to the FICS certification requirements |
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Job Family and Sector Specific content |
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Variety of study options available |
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Extensive support and resource materials |
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Internationally recognised and accredited through the ICA quality assured education partnership with University of Manchester Business School |
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Provides a route to professional membership of the International Compliance Association |
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Trainer(s) |
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Taught by both international and Singapore-based tutors using a number of teaching methods, the learning methodology includes face-to-face lectures and practice-based workshops that incorporate discussions about current affairs and case studies. This approach is further enhanced with the cutting-edge e-learning platforms and tools for 24 / 7 tutor support.
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Programme Details |
| Programme duration: |
4 modules x 2 months of study
Programme length – 8 months |
| Intakes: |
Twice per annum in March and September |
| Class schedule: |
3 x half day workshops per module
Evening and day format available
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| Venue: |
University of Manchester Business School / Suntec Convention Centre / MAS Theatrette |
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Programme Fees |
| Fees before FICS Funding: |
SGD 2,220.00 before GST
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| Fees after FICS Funding: |
SGD 222.00 before GST |
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Scope of Accreditation |
The programme is
accredited
under Job Role IV. A person in this role would have the following job responsibilities: Responsible for performing a limited specialist and support role in a compliance function
Assumes limited individual responsibility, personal accountability, decision-making authority and risk management skills
Operates in an environment which is largely non-routine, unpredictable and complex work activities
For more information on the accreditation details, please click here
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Who should attend? |
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Compliance Officers |
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Deputy Compliance Officers |
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Managers with responsibility for internal compliance controls |
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Risk Managers |
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Internal and External audit staff |
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Regulatory representatives |
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Accountants |
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Lawyers |
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Company Secretaries |
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Anyone who requires an in-depth knowledge of the compliance function and the part it plays in reducing risk |
Eligibility criteria: Sound educational background e.g. degree or professional qualification in an appropriate discipline or three years' relevant work experience in the financial services industry.
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ICA Diploma in Compliance (Specialist)
Consumer Banking, Fund Management, Insurance, Wealth Management and Wholesale Banking (in association with the University of Manchester Business School)
by International Compliance Association
Programme Synopsis |
The Diploma in Compliance is a cutting-edge professional education programme. Attainment of the qualification is a recognized mark of excellence in compliance. It delivers what compliance professionals need to know in order to understand and better perform day-to-day compliance responsibilities as well as developing and advising firms on strategy, policies, practices and procedures to meet their own requirements. Those who complete the qualification find that performance in the workplace improves and opportunities for career progression are enhanced.
The Diploma modules include:
| |
The Compliance Function
- Designing an internal compliance system
- Compliance risk
- Compliance and the business unit |
| |
The Regulatory Environment |
| |
Regulatory approaches, selected financial sector legislation, codes, etc. entities and related matters |
| |
The Financial Services industry and regulation of select products |
| |
Compliance and the business unit |
|
Unique features |
| |
Courses are delivered by ICA – The FICS Lead Provider in Compliance appointed by IBF, MAS and WDA |
| |
Written and delivered by leading academics and experienced industry practitioners |
| |
Detailed course materials that can be used in the workplace |
| |
Aligned to the FICS certification requirements |
| |
Job Family and Sector Specific content |
| |
Variety of study options available |
| |
Extensive support and resource materials |
| |
Internationally recognised and accredited through the ICA quality assured education partnership with University of Manchester Business School |
| |
Provides a route to professional membership of the International Compliance Association |
|
Trainer(s) |
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Taught by both international and Singapore-based tutors using a number of teaching methods, the learning methodology includes face-to-face lectures and practice-based workshops that incorporate discussions about current affairs and case studies. This approach is further enhanced with the cutting-edge e-learning platforms and tools for 24 / 7 tutor support.
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Programme Details |
| Programme duration: |
5 modules x 2 months of study
Programme length – 10 months |
| Intakes: |
Twice per annum in March and September |
| Class schedule: |
3 x half day workshops per module
Evening and day format available
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| Venue: |
University of Manchester Business School / Suntec Convention Centre / MAS Theatrette |
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Programme Fees |
| Fees before FICS Funding: |
SGD 2,220.00 before GST
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| Fees after FICS Funding: |
SGD 222.00 before GST |
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Scope of Accreditation |
The programme is
accredited
under Job Role V. A person in this role would have the following job responsibilities: Responsible for performing a broad specialist role in a compliance function
Assumes limited supervisory oversight responsibilities for junior compliance officers
Possesses a substantial degree of individual responsibility, personal accountability, decision-making authority and risk management skills
Operates in an environment which is largely non-routine, unpredictable and complex work activities
For more information on the accreditation details, please click here
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Who should attend? |
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Compliance Officers |
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Deputy Compliance Officers |
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Managers with responsibility for internal compliance controls |
| |
Risk Managers |
| |
Internal and External audit staff |
| |
Regulatory representatives |
| |
Accountants |
| |
Lawyers |
| |
Company Secretaries |
| |
Anyone who requires an in-depth knowledge of the compliance function and the part it plays in reducing risk |
Eligibility criteria: Sound educational background e.g. degree or professional qualification in an appropriate discipline or three years' relevant work experience in the financial services industry.
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ICA Graduate Diploma in Compliance - Leadership Programme (in association with University of Manchester Business School)
by International Compliance Association
Programme Synopsis |
The purpose of the Graduate Diploma in Compliance is to provide a training programme for individuals at a senior level in Compliance and Anti Money Laundering and is designed to provide them with the skills, knowledge and compliance expertise to operate at a leadership level. This will enable them to apply for Singapore FICP status at level VI whilst at the same time acquiring a post-graduate qualification.
The programme will consist of 8 Masterclasses on industry cutting-edge topics.
The training programme has a number of specific objectives, namely to:
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Provide up-to-date discussion and analysis of cutting edge topics and issues affecting compliance professionals in Singapore; |
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Provide relationship building skills (business units, senior management, regulators, external parties); |
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Enhance leadership qualities; |
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Develop and design plans, policies and procedures; |
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Establish rapport with senior management; |
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Enhance understanding of complex and non-routine compliance issues; |
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Review, monitor and evaluate staff; |
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Establish, build and manage the relationship with the MAS; |
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Present and monitor reports to senior management; |
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Review trends and changes in the finance industry and its products. To build policy based upon changes and to understand the key operational factors to be considered during implementation of changes; |
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Develop, establish, review and approve the training regime of the organisation; |
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Provide strategic direction to the compliance staff and organisation on a range of financial, compliance and related issues. |
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Unique features |
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High level compliance leadership Masterclasses |
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Post-graduate level qualification awarded |
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Assessment by way of work-based interview |
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Preparation for Financial Industry Certified Professional (FICP) |
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Grants automatic Fellowship of the ICA (FICA) |
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Significant government funding to defray course fees |
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Grants Statement of Attainment (SOA) at FICS Job Role VI |
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Satisfies CPD (CPE) requirements for a number of professional bodies |
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Exemptions from degree/masters level modules on, e.g. BSc, MSc programmes at the University of Manchester Business School |
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Use of designation (titles) Grad Dip (Comp); FICA and, once experience requirements have been met, FICP status |
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Trainer(s) |
The programme will be delivered by a mix of invited international speakers and ICA international faculty.
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Programme Details |
| Programme duration: |
6 x half day Masterclasses |
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1 x half day work-based assessment |
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1 x half day training programme for those not in possession of 5 x level V SOA's |
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| Intake |
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| Class schedule: |
One Masterclass per month (see website) |
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| Venue: |
University of Manchester Business School / Suntec Convention Centre / MAS Theatrette |
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Programme Fees |
Fees (before funding): $6499 + GST (Full programme - 6 Masterclasses and Assessment)
Fees (after funding): $649.00 + GST
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Scope of Accreditation |
The programme is
accredited
under Job Role VI. A person in this role would have the following job responsibilities: Responsible for performing a diverse and often demanding specialist role in a compliance function
Responsible to set the strategic direction for the compliance department, aligning the department objectives with overall corporate goals, managing the day-to-day compliance operations and managing compliance staff
Assumes tactical and bottom line responsibility for the compliance department and administers and manages adherence to the compliance department budget
Possesses a high degree of individual responsibility, personal accountability, decision-making authority and risk management skills
Operates in an environment which is largely non-routine, unpredictable and complex work activities
For more information on the accreditation details, please click here
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Who should attend? |
Target group description & eligibility criteria:
The Graduate Diploma is open to:
1) Holders of the ICA Diploma in Compliance (Job Role V) or ICA Diploma in Anti Money Laundering (Job Role V)
2) Senior compliance practitioners (with about 8 years of experience) who work within a job role that requires senior compliance responsibilities (Level VI) or where you have the potential to be such a person and go through an ICA simulation programme.
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