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Introduction to Regulation Programme

6 September 2018

London, United Kingdom
Introduction to Regulation Programme

In order to operate in the Lloyd’s market, managing agents must comply with a regulatory framework that is constantly evolving. Building compliance into managing agents’ business practices can give them a competitive edge.

This programme is designed to demonstrate how to operate within a compliance framework in order to manage regulatory risk effectively within a risk appetite set by the board. You will follow the life cycle of a risk and learn how to consider proportionality in compliance with regulation, by applying effective controls and monitoring. Compliance can be viewed as the concern solely of the compliance department when, in fact, it is the responsibility of all staff. Too often, regulation is seen as an inhibitor when it can actually enhance the business. This programme will help attendees to discover how they can personally make an effective contribution to their agency and the Lloyd’s market, through the use of practical compliance advice.

The programme is intended to be interactive by using case studies from real business issues that have previously arisen in the market. Each session will have a guest speaker to develop the topic and provide a different viewpoint, utilising a combination of training techniques. It will be structured to allow time for group discussions to share best practice. The course will demonstrate how compliance interacts with other departments in a Lloyd’s managing agent.

Programme details
06 September – 11 October 2018
Six half-day modules, from 13.30 – 17.00
Location: LMA Presentation Room, Gallery 4, Lloyd’s, London EC3M 7DQ
Fee: £1,500 + VAT

Details

Date:
September 6, 2018
Category:

Venue

LMA Presentation Room
Suite 426, Gallery 4, Lloyd's
London EC3M 7DQ  United Kingdom
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