AML / KYC

    AML / KYC

    APAC Wealth Migration Trends Heighten Financial Crime Risk

    By Joseph Quiazon | 28/12/2019

    APAC regulators are looking to FIs and their technology to guard against increasingly sophisticated criminal activity as wealth migration accelerates, says Joseph Quiazon at Exiger.

    AML / KYC

    BOJ Releases Summary Report on CBDC Legal Issues

    By Editors | 27/12/2019

    In light of the potential legal issues that may arise from a CBDC issuance by the Bank of Japan, more detailed discussion is needed.

    Fintech / Regtech

    HKMA Publishes Highlights from First AML/CFT RegTech Forum

    By Manesh Samtani | 27/12/2019

    Access to quality data and a more proactive knowledge sharing approach are critical to moving to intelligence-led methods in financial crime risk management.

    AML / KYC

    DFAT to Establish New Australian Sanctions Office from 1 Jan

    By Editors | 26/12/2019

    As part of the establishment, Australia’s Department of Foreign Affairs and Trade will be rolling out changes to its online sanctions permit platform in early 2020.

    AML / KYC

    ISDA Calls For Guidance on Handling of Derivatives Impacted by Sanctions

    By Editors | 25/12/2019

    ISDA proposes 8 principles sanctions authorities can consider to ensure safe operation of markets, and minimise derivatives market disruption and economic consequences for non-sanctioned entities.

    AML / KYC

    FSC Korea Enables Online Account Opening for Foreigners

    By Editors | 24/12/2019

    The FSC will allow non-face-to-face account opening by foreigners residing in Korea, and by legal representatives of corporations.

    AML / KYC

    SFC Proposes Enhancements to OFC Regime

    By Editors | 23/12/2019

    The changes include a mechanism for overseas corporate funds looking to re-domicile in Hong Kong. OFCs will also have to keep a register of beneficial shareholders.

    AML / KYC

    Wolfsberg Group Urges ‘Effectiveness’ Emphasis in AML/CTF Programmes

    By Editors | 23/12/2019

    FIs are devoting resources to maximise technical compliance, while not necessarily optimising detection or deterrence of illicit activity, the Wolfsberg Group says.

    AML / KYC

    Westpac Faces Shareholder Class Action for Possible Disclosure Failures

    By Editors | 23/12/2019

    The class action, filed by law firm Phi Finney McDonald, will rest on whether Westpac breached disclosure obligations or misled investors about the extent of its AML compliance failures.

    AML / KYC

    SFC, CSRC Set Date for Southbound Investor Identification Regime

    By Editors | 20/12/2019

    With technical preparations now complete at exchanges and clearinghouses, southbound trading investor identification regime is scheduled for implementation on 13 January.

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