Regulatory Compliance

Insights for the buy-side

Navigating the world of regulatory compliance

Since the 2008 crisis, the global financial industry has been hit with major regulatory challenges, including Dodd-Frank, EMIR, MiFID II/MiFIR and more. Most financial industry analysts expect to see even more regulations in the future.

Investment managers are feeling the pressure of a new regulatory landscape. New regulations designed to ensure stability and integrity in the financial system are affecting both the operational model and the bottom line. The successful organizations will be those who manage regulatory change efficiently and cost-effectively.

Focus on Regulations - 60 Second Update

We asked our Head of Regulatory Center of Excellence what’s next on the horizon for regulatory compliance. He shares some surprising insights on what will keep asset managers busy in the coming year.

http://simcorpexternal.23video.com/v.ihtml/player.html?token=ae907d07ff494b75d24dc0538562313a&source=embed&photo_id=17065231

Is regulation still top-of-mind for asset managers?

Get expert insights from Carsten Kunkel, Head of Regulatory Center of Excellence.

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Compliance Manager

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