Course Summary:

This full day course is a practical, hands-on workshop for directors (both Executive and in particular non-Executive) and senior management of Irish regulated credit, financial, insurance and reinsurance services firms, including investment funds.

Course Details: 

“The role of director is one that we have identified as an absolutely critical element …, responsibility for the proper management and control of a financial service provider and the integrity of its systems now rests squarely with its board of directors and senior management.”

(Patrick Neary, former CEO Financial Regulator)

 “… our reliance on the boards and management of credit institutions, as part of our principles based regulation, to meet their corporate governance and risk management responsibilities was misplaced.”

(Jim Farrell, Chairman Financial Regulator)

"Stronger remedies are needed here to shake up prevailing corporate governance practices by injecting some fresh blood and setting more exacting standards. This will improve the reputation of Ireland as an international financial centre by knocking on the head concerns about too cosy corporate governance practices."

(Matthew Elderfield, Head of Financial Regulation, Central Bank of Ireland)

Benefits:

The course will look at the broad topics of:

  • The role of Directors and Non-Executive Directors;
  • The Role of Boards;
  • Selection of NEDs;
  • Accounting Responsibilities;
  • Audit Committees and other Committees;
  • Risk Assessment and Planning Strategy; and
  • Enhancing Performance.

The course will examine how the functions above are impacted by specific directors’ obligations, including:

  • Companies Acts
  • Market Abuse Regulations
  • Recent litigation and ODCE actions
  • Transparency Regulations
  • Insurance Regulations
  • Solvency II
  • Prospectus Directive
  • MiFID Regulations
  • UCITS Regulations
  • Compliance Statements
  • Central Bank issued codes, notices and guidance
  • ODCE Guidance
  • Data Protection
  • Anti-Money Laundering and Counter-Financing of Terrorism
  • Specific requirements of directors following introduction of new Bank Guarantee/NAMA laws

Who Should Attend:

  • Directors (Executive and Non-Executive)
  • Compliance Officers
  • MLROs
  • Customer Relationship staff & managers
  • Heads of Risk
  • Heads of Internal Audit
  • Private Practice Solicitors
  • Accountants

Cost:

€620 for 1st attendee
€550 for 2nd attendee from same firm attending same day
(All training fees are VAT exempt)

Details:

Date Time Venue  

Thursday 4th May 2017

9:00am - 5:00pm

Camden Court Hotel, Dublin 2

 
Thursday 5th October 2017 9:00am - 5:00pm Camden Court Hotel, Dublin 2
 

 

Alternative Payments:

To pay by bank transfer/cheque please make your booking via bookings@complianceireland.com including the course name, course date, your name and contact details (including email address and telephone number). We will email you with an invoice and course details which includes the details of how to make payments.

Enquiries:

If you wish to enquire about a course before booking, please contact us at: email@complianceireland.com

CPD details:

Institute of Bankers: Formal CPD Hours

QFA: 0 hours
CPD Member: 0 hours
RS CPD Member: 0 hours
LCOI: 4 hours
Chartered Banker: 6 hours
CeB (Certified Banker): 6 hours

Irish League of Credit Unions (ILCU)

Operations Stream: 4 hours
Governance Stream: 6 hours

What Others Say:

Please click here to read what previous attendees have said about our courses.

Please read:

For more information on our Terms & Conditions and Cancellation Policy and Privacy Statement please click the link.

 

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