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We are proud to announce that the PIMFA Compliance Conference 2024 will be taking place on September 19, in London AND online.

Hear from leading industry experts on the key issues facing compliance professionals in the investment management and financial advice world.
Bringing together a high-level audience who can engage with the experts, this conference will facilitate fruitful discussions with opportunity for questions and networking.

Who attends?

• Compliance consultants, Managers, Heads of, Group Compliance officers
• Risk professionals
• C-suite executives
• Heads of Finance
• MLRO
• Investment Managers and Directors
• Regulators
• Government bodies
• Policy advisers and professionals
• And many others
When booking your ticket please be sure to choose the correct option – IN-PERSON or VIRTUAL.
The Compliance Conference will be live-streamed on the day of the event and if joining virtually you will have the opportunity to ask questions live to speakers and panellists.
Those attending in person will have the opportunity to network with fellow industry colleagues, speakers and sponsors.
The early-bird discount is available until June 30th– prices will increase thereafter.

If you have any questions or have any interest in speaking or sponsoring this event please contact events@pimfa.co.uk

Venue:

Date: 19 September 2024
Times: 08:30: – 17:45
Venue: Herbert Smith Freehills – Exchange House, Primrose St, London EC2A 2EG

 

PIMFA Compliance Conference 2024
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08:30
18:00

Arrival and Registration

08:00 - 09:00

PIMFA Introduction

09:00 - 09:15

Keynote: FCA update

09:15 - 09:45

Presentation: Regulatory Update

09:45 - 10:15

Fireside Chat: ESG & SDR implementation - an update from the ASG

10:15 - 10:45

Comfort Break

10:45 - 11:00

Fireside Chat: Operational Resilience & Critical Third Parties

11:00 - 11:45

Presentation: Crypto & Digital Assets

11:45 - 12:15

Presentation: Consumer Duty: Outcomes Monitoring Good Practice and Lessons Learned

12:15 - 12:45

Lunch & Networking

12:45 - 13:30

Presentation: The latest in CASS

13:30 - 14:00

Fireside Chat: DE&I and Compliance

14:00 - 14:45

Presentation: Vulnerable clients

14:45 - 15:15

Comfort Break

15:15 - 15:30

Fireside Chat: The Potential for AI Within Compliance

15:30 - 16:15

Closing Keynote:FOS Update

16:15 - 16:45

Closing Remarks

16:45 - 17:00

Networking Drinks

17:00 - 18:00

Alexandra Roberts
Head of Regulatory Policy and Compliance
PIMFA

More about Alexandra Roberts

Alex joined PIMFA in June 2017 as a Policy Adviser, where she works on a wide range of regulatory matters, engaging with policy makers and the regulator to promote members’ interests.

She previously worked for the Association of Professional Financial Advisers (APFA) in the same capacity. APFA merged with the Wealth Management Association (WMA) to form PIMFA.

Alex has a legal background, having studied law at Cambridge University and was called to the Bar in 1997. She was a tenant at Lamb Chambers, Temple where she specialised in personal injury claims, contractual disputes and professional negligence. Alex has experience of advisory, drafting and court work including appearances in the Court of Appeal, the High Court and county courts.

Lucy Castledine
Director, Consumer Investments
FCA

More about Lucy Castledine

Lucy has worked at the FCA since 2008 across a variety of different roles. The majority of her career has been spent in Supervision, but she also has extensive experience of designing and implementing policy, having overseen the implementation of the Mortgage Market Review and the overhaul of the financial promotions rules for high risk investments. She also spent a year in Authorisations, as Head of Department for dual-regulated firms.

Clive Cunningham
Partner-Financial Services Regulatory
Herbert Smith Freehills

More about Clive Cunningham

Clive is a partner in our Financial Services Regulatory practice; and head of the advisory (non-contentious) team in London.

Clive is a leading financial services law and regulation lawyer. With extensive City experience, including time as a banking regulator with the Bank of England and in-house, Clive advises banks, asset managers, insurers and other financial institutions on a wide range of regulatory and compliance matters across the financial services, banking and funds sectors.

Feedback from clients for Clive’s work includes praise for his “client responsiveness, business sense and ability to manage his legal team” and that “whenever we deal with EU matters, he’s extremely responsive, and he understands our business very well.”

Areas of special sector expertise are banking, asset management (including private wealth management) and securities regulation.

Marina Reason
Partner, Financial Services Regulatory
Herbert Smith Freehills

More about Marina Reason

Marina is a partner in our advisory (non-contentious) Financial Services Regulatory practice.

Marina is a financial regulation specialist with extensive experience of advising a wide range of financial services clients including investment banks, broker-dealers, private and retail banks and asset managers.

Marina covers a broad spectrum of regulatory issues including conduct of business, governance, licensing, restructuring, multi-jurisdictional compliance and regulatory considerations arising in the context of corporate transactions.

Marina has supported clients with large scale regulatory change implementation projects such as MiFID II, Brexit and Ringfencing. She has also more recently helped clients navigate the complex landscapes of CSDR and Sustainable Finance/ESG. Marina has also worked with industry trade associations on topics such as MiFID and CSDR.

Natalie Dowling
Head of tax
Hartford Consulting

More about Natalie Dowling

After over 8 years heading up Ops Tax and other Regulatory Operations for leading retail stockbrokers in the UK,

Natalie has spent the past few years in the professional services world, expanding her experience into all types and sizes of Financial Institution in the UK and EU.

Her extensive practical experience combined with regulatory knowledge provides the perfect background for assisting clients to truly understand their regulatory requirements, implement and change them in an efficient and cost-effective manner, and providing simple technology solutions for all aspects of the regimes.

Natalie feels just as comfortable rolling her sleeves up and showing clients how the ground level work is done, as she is presenting findings and recommendations to exec level stakeholders. To set up a meeting with Natalie and find out how she can help your Ops Tax efforts to be as efficient as possible, click here.

Jeff Bateman
Founder & CEO
Hartford Consulting

More about Jeff Bateman

Jeff has over 25 years’ experience in financial institutions. He has held directorship roles in KYC Operations and the prevention of financial crime.

Having worked with 12 of the world’s top 75 tier 1 banks in the world and various other financial services companies as well as professional services firms, Jeff has enjoyed a fulfilling career in aiding implementation and delivery of new and existing regulatory requirements including organisational change programmes driven out of the need to drive profits in a regulated environment.

Clients enjoy working with Jeff for his acute commercial awareness and his decisiveness under pressure. Through years of experience, Jeff has developed a thorough working knowledge of the FCA handbook and understands multiple approaches to compliance and risk.

Jeff is a member of:

Chartered Fellow of the Chartered Institute for Securities & Investment (CISI)
The International Compliance Association (ICA)
The Chartered Insurance Institute(CII)
A Fellow of the Institute of Leaders and Managers (ILM)

Kevin Sloane
Senior Policy Adviser
PIMFA

More about Kevin Sloane

Kevin Sloane has worked in financial services for over 40 years.
His areas of interest and expertise are wealth management operations and technology.

Kevin is a Chartered Member of the Chartered Institute of Securities and Investment and is a member of the CISI’s Wealth Management Forum Committee.

Julia Dreblow
Founding Director
SRI Services

More about Julia Dreblow

Julia has specialised in sustainable and responsible investment (SRI) for nearly three decades.  She is a passionate advocate of the need for investors to pay far more attention to sustainability – believing that it is not only necessary, but financially sound and what many clients want.

Julia has run her own business, SRI Services, since 2010.  SRI Services is primarily focused on helping retail financial services professionals to build sustainable investment into their businesses. Their focus is the open to all, ‘whole of SRI market’, Fund EcoMarket database tool – which is free to use thanks to fund partner support.

Julia is on the FCA’s Disclosure and Labels Advisory Group (DLAG) – helping shape the SDR. She is also the technical author of the British Standards Institution’s Fund PAS (BSI PAS 7342) which is due to publish in late 2023.  Julia is also the lead author of the PIMFA ESG Academy.

Awarded ‘Best Sustainable & ESG Support Provider’ by Investment Week in 2021 their work is specialised but diverse, inducing working closely with B2B and D2C fund platforms and portfolio providers.  Julia is also a regular conference speaker, media commentator and award judge.

Julia previously ran the sustainable investment area in Friends Provident (1996-2008), having first become involved in sustainable investment at NPI in 1991 (now respectively part of Aviva and Janus Henderson). She has previously served three (non-consecutive) terms as a director at industry not-for-profit UKSIF.

Beth McConnell
Compliance Manager
Walker Crips Investment Management
David Mulholland
Business Development Manager
Brooks MacDonald

More about David Mulholland

David joined Brooks Macdonald in 2017 and supports and develops intermediary relationships throughout the UK. He is also a key member of our Vulnerable Client Working Group and is responsible for promoting the best routes to financial advice for vulnerable individuals.

Prior to joining Brooks Macdonald, David worked as an Investment Consultant, and at Aviva UK Life and Pensions as a Sales Consultant. He has over 25 years’ experience working in sales in the financial services industry.

Rachel Lam
Pensions Investment and Mortgages (PIM) Director
Financial Ombudsman Service (FOS)
Kameka McLean
Group Head of HR
Walker Crips Group

More about Kameka McLean

Kameka is Head of Human Resources (“HR”) at Walker Crips Group and founder of Let’s Talk Diversity and Inclusion (“LTDI”). She has extensive HR experience, particularly in diversity, equity and inclusion (“DE&I”), recruitment, conflict resolution, change management, employee relations, learning development, and employer of choice initiatives. Kameka is commercially savvy and has experience of collaborating with senior management to conduct strategic HR planning to boost corporate goals and reaffirm HR best practices within DE&I initiatives.

 

Kameka has a proven track record of successfully implementing DE&I strategies, ensuring better representation from various groups within organisations. This achievement stems from addressing strategic plans for talent acquisition, retention, succession planning, as well as learning and development initiatives. Additionally, Kameka has led projects spanning organisational transformation and programme design to company acquisitions, from due diligence to ‘TUPE’ transfer. This showcases her exceptional communication skills, adept analysis and the ability to establish trust-based working relationships.

 

Outside of work, Kameka is actively involved and passionate about supporting youths and those suffering from mental health, through her role as a committee member of the YMCA. Kameka is involved in speaking at seminars to promote DE&I initiatives and to also empower women who are vulnerable within society. She mentors them in developing interview techniques and assists with CV writing to help gain employment.

Naresh Jagru
Technical Associate Director
RSM

More about Naresh Jagru

Naresh works at RSM to lead the FCA Technical Desk and his role involves assisting the teams by providing technical support on various FCA reporting engagements, with particular focus on CASS. Naresh leads various other initiatives surrounding the quality and delivery on CASS engagements.

Prior to joining RSM, Naresh worked with a few other professional services firms, including Big4. With a background in investment management audit, for the past several years, he has worked solely in CASS space providing audit, assurance and consulting services to market participants in the investment sector. His clients have included CASS large wealth managers, third party administrators and custodians, Model A and B firms, traditional brokerage houses and investment platforms.

Naresh has also worked on several CASS s166 engagements and has liaised with the regulator directly. Naresh has made active contributions to relevant industry and regulatory groups and liaised with the FCA on CASS topical matters.

Simon Goryl
Advisory Director
Square 4

More about Simon Goryl

Simon is the Advisory Director at Square 4 and supports firms across financial services with regulatory change; risk management; governance and controls design and implementation; strategy, policy and process development.

Simon has a wealth of experience leading advisory teams across all financial services verticals and has led and implemented various significant regulatory change projects.

Maja Erceg
Senior Policy Adviser
PIMFA

More about Maja Erceg

Maja joined PIMFA as Senior Policy Adviser, EU and Government Affairs in November 2018. She is a former diplomat, public affairs and policy official with extensive experience of international, European and UK government and policy operations.

At PIMFA, Maja is responsible for developing policy and implementing the associated advocacy work with key EU and UK institutions, including the European Commission, Parliament, and Council, HMG, and the FCA, on a range of European and UK legislative and regulatory issues.

Prior to PIMFA, Maja worked at the City of London Corporation as an European Policy and European Regulation Adviser, focusing on Brexit related issues and on strengthening the dialogue between the UK-based financial and professional services industry, the UK government, regulatory authorities, EU institutions and Member States. While in the diplomatic service, Maja worked on numerous policy initiatives, engagement strategies and advocacy efforts, including Croatia’s negotiations for membership of the EU and NATO.

Maja was educated at the University of Zagreb, Croatia.

Booking and Registration Information

If you are a PIMFA member please ensure you have logged in to register for this webinar, podcast or event and receive your discount. If you are unsure of your login details you can request a new password via our website or email us to reset it for you. If you are unsure whether you belong to a PIMFA member firm please register for an account or email us and we will confirm this for you. You can still register for our webinars, events and podcasts as a non-member (charges apply in some instances). Requests may take up to 48 hours to process.

Tickets

Unlimited available
PIMFA Compliance Conference 2024 In person (FM)£325.00 ex. VAT

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Unlimited available
PIMFA Compliance Conference 2024 Virtual (FM)£300.00 ex. VAT

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Unlimited available
PIMFA Compliance Conference 2024 In person (AM)£375.00 ex. VAT

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Unlimited available
PIMFA Compliance Conference 2024 Virtual (AM)£350.00 ex. VAT

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Unlimited available
PIMFA Compliance Conference 2024 In person (NM)£600.00 ex. VAT

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Unlimited available
PIMFA Compliance Conference 2024 Virtual (NM)£600.00 ex. VAT

Please fill in all required fields

Details

Date:
19th September
Time:
08:30 - 18:00
Cost:
£250 - £600
Event Categories:
,

Other

Email Address:
learning@pimfa.co.uk