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A Practitioner's Guide to The Law and Regulation of Financial Crime, 2nd Edition

A Practitioner's Guide to The Law and Regulation of Financial Crime, 2nd Edition

  • Author:
  • Publisher: Sweet & Maxwell U.K.
  • ISBN: 9780414050914
  • Published In: September 2018
  • Format: Hardback
  • Jurisdiction: International ? Disclaimer:
    Countri(es) stated herein are used as reference only

List Price: HKD 2,640.00

HKD 2,560.80 Save HKD 79.20 (3%)

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  • Description 
  • Contents 
  • Details

    A Practitioner’s Guide to Law and Regulation of Financial Crime provides a comprehensive coverage of the law and regulation relating to all aspects of the subject as they affect the practitioner. It looks at the specifics of the UK regime, Europeanlevel issues and global developments, and brings together everything within the financial crime agenda to give a coherent picture. The new edition has been revised to take account of the new UK financial services regulatory structure, recent legislation and newly emerging forms of financial crime.

    • Covers the roles of the FCA and PRA and their interaction with the National Crime Agency, Serious Fraud Office and other authorities
    • Includes practical steps to deal with prevention and investigation of fraud in the workplace
    • Features new coverage of online crime and security, resilience to cyber attacks and social media
    • Includes coverage of insider dealing and market abuse issues
    • Covers bribery and corruption and what to do if a breach is discovered
    • Explains the UK and international approaches to anti-money laundering and countering terrorist financing
    • Deals with trade and financial sanctions including UK, US and EU controls
    • Includes greatly expanded coverage of UK/US cross-border issues, as well as LIBOR and foreign exchange rigging
    • Looks at the civil liability of financial institutions
    • Includes coverage of internal and external investigations, and the investigatory powers of regulators and the SFO
    1. Financial crime
    2. International and cross-border issues
    3. Preventing and investigating fraud in the workplace
    4. Online crime and security
    5. Insider dealing and market abuse
    6. Bribery and corruption
    7. Money laundering and terrorist financing
    8. Trade and financial sanctions and export controls
    9. Civil liability of financial institutions
    10. External investigations
    11. Investigatory powers in criminal proceedings
    12. Internal minvestigations
    13. Criminal investigations; Forensic investigations
    14. Bribery and corruption – “pleading and fighting it”.

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