10 years of regulatory change 

Register to listen to our on-demand webinar and learn how 10 years of regulatory change has affected the risk and compliance function.

Susannah Hammond and Ashley Kovas unpack 10 years of survey results from our industry renowned cost of compliance report. The information captured within the Cost of Compliance Report 2019 spans the globe, with some data points varying from region to region. Register to listen to our on-demand webinar to benchmark your approach and see how your region compares to the rest of the world. 

The discussion provides opportunities to learn about a variety of topics, including:

  • Continuing regulatory challenges facing compliance practitioners;
  • Managing the rise in personal liability;
  • Impact of technology on compliance functions;
  • Importance of enhancing compliance skill-sets.

Event information:

Recorded on: 10 September 2019

Location Online Webinar

Topic Cost of Compliance - 10 years of regulatory change

Speakers Susannah Hammond
                         Ashley Kovas (Moderator) 

Our experts discussed key highlights from the report while also focusing on what challenges and opportunities the next 10 years bring for compliance professionals globally. Register to get access to our on-demand webinar. 

About the speakers

Susannah Hammond, Senior Regulatory Intelligence Expert

Susannah Hammond is a senior regulatory intelligence expert and joined our regulatory intelligence team from GE Capital Bank where she was head of compliance. Susannah has over 25 years’ wide-ranging experience in international and UK financial services.

A qualified chartered accountant, Susannah’s compliance career includes SG Warburg, Caspian Securities and PricewaterhouseCoopers. She was head of international regulatory risk for the Halifax Group and became head of retail regulatory risk for HBOS plc upon Halifax’s merger with Bank of Scotland.

Ashley Kovas, Senior Regulatory Intelligence Expert (Moderator)

Ashley Kovas is a senior regulatory intelligence expert at Thomson Reuters. Prior to his current role, Kovas worked for several fund management companies, and then spent eight years at the FSA as an active member of the CESR (now ESMA) Investment Management Expert Group. He represented the FSA at IOSCO Standing Committee 5 (Investment Management).

He then became head of Group Compliance (Funds) in the Prudential PLC Group Compliance Department and soon became the head of Group Compliance Policy at the Royal Bank of Scotland.

 

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