Automatically monitor regulatory updates to map to your internal policies, procesures and controls. Learn More
-

1558 Enforcement Actions in the U.S. over past 30 days

-

FTC enforcements decreased 55% over the past 30 days

-

SEC issued enforcements: $37,812,859 over the past 30 days

-

50 Final Rules go into effect in the next 7 days

-

49 Mortgage Lending docs published in the last 7 days

-

1670 docs with extracted obligations from the last 7 days

-

new Proposed and Final Rules were published in the past 7 days

-

11906 new docs in pro.compliance.ai within the last 7 days

-

Considering RCM Solutions?  Here’s an RFP to get started.

-
Federal Reserve Bank Capital Stock
Rule effective Feb. 14 FRS | FCPA/ABAC, BSA/AML, Consumer Lending | Rule
Regulatory Notice 22-03 FINRA Adopts Amendments to Clarify the Application of FINRA Rules to Security-Based Swaps Effective Dates: February 6, 2022 (Rules 0180, 4120 and 9610) and April 6, 2022 (Rules 4210, 4220 and 4240)
Rule effective Feb. 06 FINRA | FCPA/ABAC, BSA/AML, Consumer Lending | Notice
Certain Investments in the United States by Foreign Persons and Certain Transactions by Foreign Persons Involving Real Estate in the United States
Rule effective Feb. 04 TREAS | FCPA/ABAC, BSA/AML, Consumer Lending | Rule
Filing Fee Disclosure and Payment Methods Modernization
Rule effective Jan. 31 SEC | FCPA/ABAC, BSA/AML, Debt Collection | Rule
Universal Proxy
Rule effective Jan. 31 SEC | FCPA/ABAC, BSA/AML, Debt Collection | Rule
See all
 


Conference of State Bank Supervisors details repercussions of SAFE Act violation

Financial Regulation News 01/24/2022
Conference of State Bank Supervisors (CSBS) officials said the agency has reached settlements with over 400 mortgage loan originators nationwide in violation of the SAFE Act….
Read More


Treasury Wants Banks to Loop in Foreign Affiliates on Suspicious Transactions

The Wall Street Journal 01/24/2022
The pilot program from the department’s anti-money-laundering watchdog would allow participating banks to share so-called suspicious activity reports with branches abroad…
Read More


EU Commission Finds Two-Thirds of EU Websites Violate Consumer Protection Laws

Pymnts 01/24/2022
The results of an European Union-wide website screening into misleading practices in relation to online reviews have revealed that the majority of websites checked violate European Union law…
Read More


Banks handed new ESG reporting requirements by U.K. watchdog

American Banker 01/24/2022
Europe is imposing new requirements on how banks report environmental risks and carbon targets, to give investors a better picture of the threats that climate change poses to the industry…
Read More


Managing Third-Party Sanctions Risks (Part I of III)

Volkov Law Group 01/24/2022
If there is one issue that is repeated over and over (and over), it is third-party risks. Over the last ten years, we have witnessed an explosion in anti-corruption…
Read More

X