E-LEARNING COURSE FOR INDIVIDUALS AND BUSINESSES

Board: Market Conduct and Conflicts of Interests

CHF 750.00

For corporates contact us at academy – support@dl-p.ch

ABOUT THIS COURSE

Market conduct and conflict of interest presents one of the most sensitive supervisory topics for FINMA as it has direct effect on market integrity, investor confidence and the reputation of the Swiss financial centre. Moving beyond operational compliance, this course clarifies the Board’s non-delegable oversight duties, regulatory expectations, and the specific documentation required by FINMA and external auditors. Directors will gain a clear understanding of market abuse definitions, FINMA Circular 13/8, the Financial Market Infrastructure Act, and the applicable obligations and sanctions to effectively safeguard institutional integrity.

The topics discussed are:
– Market conduct and the board’s accountability
– Regulatory framework
– Market abuse & conflict of interest

DETAILS

TIME & ACCESS VALIDITY
Approximately 60 minutes
The access to the course is valid for 90 days from the date of purchase.
Language
English
SAQ RECERTIFICATION
SAQ Board

FOR CORPORATES

ADDITIONAL MODULES
No additional modules

Interested in this course for your team?

Get in touch to discuss individual enrolment or a tailored corporate programme for your organisation.