Join us for the third of our quarterly Compliance Officers’ Group Meetings to gain an understanding of important upcoming compliance and regulatory issues.
This session will focus on non-financial misconduct in the insurance market and Lloyd’s financial crime and compliance thematic findings.
The event will conclude with a social hosted by CMS at 17.00.
Due to restricted numbers, if you register and subsequently are unable to attend, please email sophie.dewison@lmalloyds.com.
This event is open to full LMA members who are legal, compliance and regulatory practitioners, as well as those interested in financial crime prevention.