Professional Training

Regulated Financial Services & Law Firm Compliance - The Do’s & Don’ts - Learn Live

Length
1.5 hours
Next course start
22 July, 2024 See details
Course delivery
Virtual Classroom
Length
1.5 hours
Next course start
22 July, 2024 See details
Course delivery
Virtual Classroom

Course description

If your law firm is not authorised and regulated by the Financial Conduct Authority, there are legal restrictions on the types of financial services which can be provided. Breaching these restrictions leads to severe legal and regulatory penalties.


Presented by regulatory and compliance expert Tracey Calvert, this virtual classroom seminar will explore the restrictions, and explain the limited types of financial services which can be provided in SRA-authorised law firms. It will cover the conditions which must be met, and the compliance in practice requirements which must be satisfied.


This session will be relevant to the firm’s managers and owners, the COLP, and anyone involved in the firm’s risk and compliance strategy.

Upcoming start dates

1 start date available

22 July, 2024

  • Virtual Classroom
  • Online
  • English

Outcome / Qualification etc.

Following all MBL courses, a certificate of attendance will be provided for those who are required to evidence their CPD activity to a professional body.

Training Course Content

Introduction

There are legal restrictions on the types of financial services which can be provided in circumstances where your law firm is not authorised and regulated by the Financial Conduct Authority. The legal and regulatory penalties for breaching these restrictions are severe.

This virtual classroom session will explore the restrictions and also explain the limited types of financial services which can be provided in SRA-authorised law firms. It will cover the conditions which must be met, and the compliance in practice requirements which must be satisfied.

This session will be relevant to the firm’s managers and owners, the COLP, and anyone involved in the firm’s risk and compliance strategy.

What You Will Learn

This live and interactive session will cover the following:

  • The legal framework for the provision of regulated financial services
  • The decisions which law firms must make
  • What the SRA expects of you
  • A review of the SRA Standards and Regulations and how they apply to this topic
  • The SRA Financial Services (Scope) Rules - prohibitions, conditions, and requirements relating to particular types of regulated activities
  • The SRA Financial Services (Conduct of Business) Rules - how you are required to behave
  • Hot topics - insurance distribution and credit-related regulated activities
  • Tips to demonstrate compliance in practice and manage your response to this topic

Expenses

From £144
MBL Seminars Limited
C/o Law Business Research
Holborn Gate, 330 High Holborn
WC1V 7QT London

MBL Seminars Limited

MBL is a leading learning and development provider for professional service firms. Over the past 18 years, more than 198,000 people across 23,000 different organisations spanning 81 countries, have chosen us to deliver their training. With over 800 expert speakers...

Read more and show all courses with this provider

Ads