Skip to main content

Risk-Based Financial Regulation and Compliance Officer Liability

  • Chapter
  • First Online:
Financial Compliance

Abstract

This chapter considers aspects of UK financial services law and regulation that require governance of risk and the maintenance of an internal compliance function. First, the chapter examines a number of key components of the law and financial services regulatory regime that require financial institutions to establish internal governance arrangements and systems of control for the purpose of identifying and managing risk in financial services. In so doing, the chapter examines the interplay between certain aspects of financial regulation and the discipline of risk management and seeks to allow discussion about whether compliance with such risk-focused regulation is straightforward or complex. Secondly, the chapter provides an insight into the evolving nature of ‘compliance’, the characteristics and responsibilities of a firm’s compliance function, it’s positioning within a firm’s overall control environment and the extent to which a compliance officer and those working in a compliance function, including those working as a money laundering reporting officer, are accountable for their professional activities and may have personal liability for when things go wrong.

This is a preview of subscription content, log in via an institution to check access.

Access this chapter

Chapter
USD 29.95
Price excludes VAT (USA)
  • Available as PDF
  • Read on any device
  • Instant download
  • Own it forever
eBook
USD 119.00
Price excludes VAT (USA)
  • Available as EPUB and PDF
  • Read on any device
  • Instant download
  • Own it forever
Hardcover Book
USD 159.99
Price excludes VAT (USA)
  • Durable hardcover edition
  • Dispatched in 3 to 5 business days
  • Free shipping worldwide - see info

Tax calculation will be finalised at checkout

Purchases are for personal use only

Institutional subscriptions

Author information

Authors and Affiliations

Authors

Corresponding author

Correspondence to Stuart Bazley .

Editor information

Editors and Affiliations

Rights and permissions

Reprints and permissions

Copyright information

© 2019 The Author(s)

About this chapter

Check for updates. Verify currency and authenticity via CrossMark

Cite this chapter

Bazley, S. (2019). Risk-Based Financial Regulation and Compliance Officer Liability. In: Krambia-Kapardis, M. (eds) Financial Compliance. Palgrave Macmillan, Cham. https://doi.org/10.1007/978-3-030-14511-8_6

Download citation

  • DOI: https://doi.org/10.1007/978-3-030-14511-8_6

  • Published:

  • Publisher Name: Palgrave Macmillan, Cham

  • Print ISBN: 978-3-030-14510-1

  • Online ISBN: 978-3-030-14511-8

  • eBook Packages: Economics and FinanceEconomics and Finance (R0)

Publish with us

Policies and ethics