Programme Objective
This programme will provide participants with an overview and insights into the latest Guidelines on Conduct for Capital Market Intermediaries with the objective to foster good business conduct and corporate culture within all capital market intermediaries.
Mode
Webinar
Target Audience
Individual
Capital Market Representative’s Licence (CMSRL) Dealing in Securities and Derivatives, Fund Managers, Compliance Officers, Financial Planners, Wealth and Legal Advisors, Risk Management Officers, Lawyers, Internal Auditors, Governance Officers, Professionals undertaking corporate advisory work
Institutions
Capital Market Intermediaries, Public Listed Companies (PLs), Regulatory and Supervisory Bodies
Learning Outcomes
Upon completion of this programme, the participants will be able to:
- Identify the rationale behind the implementation of SC Guidelines on Conduct for Capital Market Intermediaries
- Describe the important requirements and expectations of the guidelines
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- Examine the obligations and expectations of a license person in carrying out capital market-related services
- Discuss the recommended best practices in applying good conduct and governance within business organisations
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Competencies
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- Foundational (Regulatory) – Capital Market Intermediaries (Proficiency Level 3)
- Foundational (Regulatory) – Capital Market Products Regulation (Proficiency Level 3)
- Functional (Process) – Compliance (Proficiency Level 3)
- Core – Ethics and Integrity (Proficiency Level 3)
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