As a result of recent events in Ukraine, and the economic sanctions imposed on Russia, there are a number of potential issues facing financial institutions. Firms have, understandably, concentrated on the immediate sanctions issues facing their organisations but will increasingly need to focus on the broader governance and compliance issues and plan accordingly, with their advisors.
In this 20-minute webinar, our financial services and regulation team will highlight these issues and provide practical guidance for financial institutions.
We will cover:
- Hot topics for FIs in sanctions compliance: secondary trading and indirect application
- Market conduct issues: dealing with extreme price movements
- The ‘G’ in ESG and reputational risk management
- How you can prepare for enquiries by the regulator
To attend this webinar, please click here to register.
For more information on the way in which the recent sanctions upon Russia will affect financial services firms, please visit out Beyond Sanctions Hub here.