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Risk and Compliance Questions and Answers - Rebecca Atkinson, Tracey Calvert

Risk and Compliance Questions and Answers

Buch | Softcover
346 Seiten
2025 | 2nd New edition
The Law Society (Verlag)
978-1-78446-274-1 (ISBN)
CHF 199,95 inkl. MwSt
Through a series of questions and answers, covering common to complex issues, this new edition provides practical guidance on points that those tasked with risk and compliance in their firm or business need to consider and respond to quickly. It also provides invaluable assistance to all managers and fee earners working in the firm.
The new second edition of Risk and Compliance Questions and Answers has been updated to incorporate the latest regulatory information and guidance from government, the SRA, LSAG and the Law Society.

Through a series of over 200 questions and answers, covering common to complex issues, this book provides practical guidance on points that those tasked with risk and compliance in their firm or business need to consider and respond to quickly. It also provides invaluable assistance to all managers and fee earners working in the firm.

Covering key areas such as:
* anti-money laundering
* financial crime, including sanctions
* Economic Crime and Corporate Transparency Act 2023
* the regulatory framework
* the SRA Accounts Rules
* data protection
* professional ethics
* conflicts and confidentiality
* client care and
* law firm management and HR.

Each question and answer also suggests helpful resources and provides valuable compliance tips.

An essential companion on your risk and compliance journey; this book can be dipped into as required or read cover to cover to assist with a firm or legal department's risk assessment and audit process.

PART 1: Anti-money laundering. 1. Anti-money laundering legislation; 2. Risk assessments; 3. Client due diligence; 4. Suspicion and suspicious activity reports; 5. Practice management and HR; PART 2: Financial crime; 6. Anti-bribery and corruption; 7. Tax evasion and the Criminal Finances Act 2017; 8. Sanctions; PART 3: Regulation and compliance; 9. Regulatory framework; 10. Practising certificates, certificate renewals, continuing competency regime and health issues; 11. SRA Accounts Rules; 12. Data protection; 13. Financial services; 14. Modern slavery; 15. Price transparency; 16. Conflicts of interest; 17. Confidentiality, disclosure and conflict of duties; 18. Acting on a client's matter; 19. Client care; 20. Running a law firm - compliance questions.

Erscheinungsdatum
Verlagsort London
Sprache englisch
Maße 156 x 234 mm
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Privatrecht / Bürgerliches Recht Berufs-/Gebührenrecht
ISBN-10 1-78446-274-8 / 1784462748
ISBN-13 978-1-78446-274-1 / 9781784462741
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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