Compliance Time

D.R.

In these podcast series you can hear from compliance experts and enthusiasts who are creators in this space and are contributing to the fast-moving and dynamic field of financial compliance. Hear their views on new trends in AML, sanctions and fraud. Subscribe on our site www.cmpltime.com for latest updates on new episodes and content. read less
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Episodes

Silent Eight Continuing the Discussion about AI in Compliance
Aug 7 2023
Silent Eight Continuing the Discussion about AI in Compliance
For the second time on the podcast, we have guests from the Silent Eight. With us now are Lyndon Reid and Pak Teng Chow. Lyndon is a seasoned professional with a real passion for sales, business development, and helping companies navigate the complex world of legal and compliance. Prior to joining Silent Eight, he made waves as the VP of Sales & Marketing at Uncharted, where he dove headfirst into the world of digital distribution technology for the insurance sector. He's also made his mark at big players like Manulife and Allianz Partners, leading alternative and affinity distribution efforts across the Asia Pacific. But let's not forget his earlier years, where he served as a Barrister at the Sydney Bar and held various legal roles in both private practice and in-house for global financial institutions.We are also joined by Pak, Silent Eight's dynamic sales director who's leading the quest for expansion into the SEA market. Beyond his role at Silent Eight, Pak actively contributes to the Singapore FinTech Association as a member of the RegTech subcommittee. Pak is truly passionate about AI and automation, always striving to achieve more with less effort. As you'll hear today, he's brimming with enthusiasm when discussing the future of work, technology, AI, compliance, and the endless possibilities they offer. With his diverse entrepreneurial background in F&B, Mobile Games, Blockchain Education, IoT Vending Machines, and Marketing Agency, Pak brings a fresh perspective and a treasure trove of insights to the table.LinkedIn Lyndon: https://www.linkedin.com/in/lyndonr/LinkedIn Pak: https://www.linkedin.com/in/pakteng/Support the show
The Compliance Co-Pilot
Jun 21 2023
The Compliance Co-Pilot
In this episode Denitsa and Francisco Mainez spoke about AI, technology and the new compliance co-pilot developed by Luncity, Luci. Our guest, Francisco, is a Financial Crime and Regulatory Transformation SME at Lucinity, where he is using his experience in Financial Crime and Intelligence to integrate different capabilities into solutions that can improve prevention, detection and investigation of Financial Crimes, as well as ensuring alignment between relevant regulations and the Lucinity product. Francisco is the former Head of Data and Analytics for Wealth and Personal Banking Financial Crime Risk at HSBC. Throughout his career, Francisco has specialised in activities related to data extraction, analysis and Money Laundering, Financial Crime Typologies, Operations, Customer Due Diligence and Tax Evasion, among other areas.  His team was also deeply involved in rolling out initiatives related to Advanced Analytics solutions for Financial Crime. While in HSBC, Francisco worked in other Financial Crime Teams, such as the Financial Intelligence Unit and Global Compliance Reporting. Prior to HSBC, Francisco fulfilled roles in Standard Chartered Bank in London and Singapore after completing several tours of operations in Military Intelligence for NATO and the European Union in different geographical locations.  Francisco holds a MSc in Information and Knowledge Management and a BSc in Politics and International Relations from the University of London-LSE, along with several professional certifications: CAMS, CISI Investment Operations, CFCI (Certified Financial Crimes Investigator) and SAFe (Scalable Agile Framework). In his spare time, Francisco likes to spend time with his family, read history books and ride his motorcycle.Learn More about Luci: https://lucinity.com/luciConnect with Francisco on LinkedIn: https://www.linkedin.com/in/francisco-mainez-8b76679/Support the show
AML and Fraud Insights: SARs, Investigation Strategies, and the Evolving Investigator Role with Paul Stratton, the Fraud Nerd
Jun 12 2023
AML and Fraud Insights: SARs, Investigation Strategies, and the Evolving Investigator Role with Paul Stratton, the Fraud Nerd
Guest on the episode is the brilliant Paul Stratton, known on LinkedIn as the fraud nerd. he creates insightful content, if you are not following him, do so now!. Paul is a former Police Detective with Merseyside Police in the United Kingdom, an area which covers the city of Liverpool. He spent 22 years working in various roles including covert policing and intelligence, counterterrorism and counter-extremism, undercover policing, and criminal investigations into serious and complex crimes such as domestic violence, stalking, violence and abuse against vulnerable people, and sexual offences. Paul’s last role in the police was as part of the Economic Crime Team, investigating cases of fraud, money laundering, and broader economic crime on a national and international level. He led and managed investigations into the most harmful, complex, and sensitive crimes, such as high-value theft and fraud by an employee, cyber-crime including illegitimate use of cryptocurrency, abuses of position within law firms and allegations of corruption in local government. Paul now works in Local Government in Liverpool as a Fraud Specialist. He leads at a senior level and is responsible for driving the organisation’s focus on fighting financial crime, specifically internal risks. He is the authority’s subject matter expert on internal fraud and fraud risk assessment and oversees their whistleblowing arrangements and internal investigations. He has recently transformed the organisation’s approach to fighting fraud and corruption with a framework and strategy described by central government as “an example of best practice”. Paul also chairs a regional fraud group and is part of national counter-fraud groups. He has a post-graduate degree in Fraud & Financial Crime and a master’s degree in Intelligence & Security Studies. Also, he works part-time as a counter-fraud coach and trainer for financial crime professionals and apprentice investigators. Paul will soon be changing careers and working in the FinCrime training sector full time. He lives with his wife and dog, Dexter, who is his favourite counter-fraud apprentice of all.LinkedIn: https://www.linkedin.com/in/pauldstratton/Support the show
Compliance, Investment Advisory and How to Prepare for the Chief Compliance Officer Role
Apr 11 2023
Compliance, Investment Advisory and How to Prepare for the Chief Compliance Officer Role
Michael Rasmussen’s success story starts where most entrepreneurs with a legal background begin: with big ideas to serve clients and an industry passion. He is most passionate about assisting US and UK financial services professionals seeking investment adviser registration or acquisition due diligence services in the US or UK. In 2013, he started his career in the securities industry as a regulator with the Financial Industry Regulatory Authority (FINRA). After FINRA, Michael served in Senior SEC/FINRA Consultant positions for several established legal and consulting firms. More recently, he has acted as General Counsel and Chief Compliance Officer for several established investment advisers and private fund managers with each institution managing over $1 Billion in assets under management.In 2020, Michael leveraged his extensive legal and compliance background to found United Atlantic Legal Services, a law firm exclusively dedicated to assisting US & UK financial services professionals seeking investment adviser registration or acquisition due diligence services. As a licensed lawyer in both the US and UK, he is able to uniquely service clients on both sides of the Atlantic Ocean.In addition to that, Michael has routinely served investment advisory firms and private fund managers as a Subject Matter Expert and has provided extensive training regarding developing and existing FINRA & SEC matters, including but not limited to Fiduciary Standards, Investment Adviser Registration, Investment Advisor Compliance, and Investment Advisor Legal and Compliance Acquisition Due Diligence. In response to the demand for legal and compliance training, he founded FinProLaw (www.finprolaw.com), a legal and compliance learning platform that provides in-depth coaching services to new and aspiring investment adviser Chief Compliance Officers.Mr. Rasmussen received his JD from Nova Southeastern University, Shepard Broad College of Law, and his BS in Legal Studies from Nova Southeastern University, Farquhar College of Arts and Sciences. He serves on the Education Committee for the National Society of Compliance Professionals and has passed the FINRA 7, 24, 63, and 65 examinations.FinProLaw: www.finprolaw.comUnited Atlantic Legal Services: www.unitedatlanticls.comLinkedIn: https://www.linkedin.com/in/mrasmussenlaw/Support the show
Women in Ethics and Compliance
Aug 1 2022
Women in Ethics and Compliance
https://www.podinbox.com/compliancetime In this episode, I am joined by two amazing women working tirelessly on creating a trusted circle of inspiring women celebrating the essence of all that is best for professional women. You will hear from Lucianne Mallman and Gina Green the chair and vice-chair of Women in Ethics and Compliance. Luciane is a qualified lawyer admitted to practice in Brazil, Portugal, England, and Wales with over 18 years of professional experience specializing in Corruption and Governance, currently based in the UK. She has worked in top-tier litigation and international dispute resolution departments of Magic Circle and White-Shoe law firms before spending some time working in the consulting space. She currently holds the position of Senior Legal Counsel & Compliance Officer at a large Civil Engineering company.Gina is based in the Northeast region of the US and is a graduate of Widener Delaware Law School in the US, with a degree in corporate and business law. She is a subject matter expert in creating and improving corporate compliance and ethics programs; in tandem with incorporating Diversity and Inclusion policy within operational processes. She is also a contributing writer and speaker for many compliance articles, events, and workshops. Gina is the Founder and Compliance Officer for Tuck9 Inc., a Compliance & Ethics Consulting Group, and is the Vice-Chair of Women in Ethics and Compliance Global, an international Organization and a partner with Forensic Compliance Consulting in Mexico City, Mexico. Listen to this episode to the very end because Women in Ethics and Compliance have prepared a gift for you and you will hear how to get that🙂 Remember only the first 50 listeners will be rewarded, so hurry up and claim your prize. https://wec-global.org/As a thank you for listening to the complete WEC Podcast, For the first 50 listeners, WEC Global would like to give a special free gift. Just send the word "Gift" to info@wec-global.org. If you liked this episode, remember to leave us a 5-star review on your platform or send us your feedback on PodInboxSupport the show