CPD*
* SIDC CPE points are recognised by FIMM, AICB and MIA
Learning Hours
1.5 hours (including Pre & Post Assessments)
Session 1
- Nature of the relevant business (stockbroking, investment banking and futures broking), including its shifting trends and regulatory and competitive changes
- Overview of the expected competencies to understand the nature, conduct and performance of the relevant business, including
– Duties to clients;
– Types of risks associated with the relevant business;
– Performance benchmarking and evaluation - Challenges in the operations, systems and procedures in terms of minimum requirements and best practices to meet the expectations laid out in the applicable SC Guidelines with particular reference to the following areas of:
– Customer due diligence;
– Insider and/or price sensitive information;
– Real or perceived conflicts of interest situations;
– Market misconduct, including front running and scalping;
– Compliance function and compliance officers;
– Breaches of securities laws, rules and regulations;
– AML/CFT framework;
– Bursa Malaysia’s approach to ensuring fair and orderly market intermediaries.
Learning Outcomes
Upon completion of this programme, participants will be able to:
- Discuss the nature, challenges and opportunities in the relevant business (stockbroking, investment banking and futures broking);
- Evaluate the relevant provisions in the applicable guidelines that directors of licensed intermediaries need to be cognizant of;
- Assess the challenges facing directors of relevant business (stockbroking, investment banking and futures broking) in overseeing the application of and conformance with the applicable guidelines;
- Discuss the appropriate judgement exercise in dealing with issues of business challenges and regulatory expectations brought to the board’s attention.
Competencies
Core Risk Management (Proficiency Level 4) Foundational (Regulatory) Capital Market Intermediaries (Proficiency Level 4) Foundational (Regulatory) Capital Market Products Regulations (Proficiency Level 4) |
Target Audience
Individual
Newly appointed directors and directors of CMSL holders
Wong Yoke Weng
Former, Managing Director of Securities, Affin Hwang Capital
Wong Yoke Weng is currently a member on Bursa’s Appeals Committee. Prior to his retirement, he was the Managing Director of Securities at Affin Hwang Investment Bank (“AHIB”) and is responsible for managing the overall securities business comprising institutional equities and retail business network of over 700 remisiers nationwide.
Prior to his appointment at AHIB, Wong was the Head of Intermediaries & Fund Supervision Business Group of Securities Commission Malaysia (“SC”) for 9 years, where he led SC’s strategic supervision and monitoring of market intermediaries and actively contributed to SC’s corporate direction-setting and decision-making. While at SC, he also concurrently held the position of Head, Market Surveillance Department for 3 years. In addition, he was SC’s representative as a member of the Financial Stability Committee of the Labuan Financial Services Authority and a member of the Accountant General’s committee to interview Accountant’s application of a Public Audit or Liquidator License. He was also an active Committee Member of the Association of Stockbroking Companies Malaysia (ASCM) and Malaysian Investment Banking Association (MIBA) for 6 years up to 2021.
Prior to working in SC, he was the Executive Director of JF Apex Securities Berhad for 14 years.
Wong has 40 years’ experience in auditing, managing accounting, financial services, and regulation of the capital market. He is a Chartered Accountant of the Malaysian Institute of Accountants (MIA) and was a Fellow Member of the Association of Chartered Certified Accountants (UK) up to 2021.
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