Banks

My Compliance Centre is a Compliance Management System for FCA regulated firms and it has the most efficient compliance monitoring module you need to comply with your regulatory obligations.

While Banking business models vary significantly, the regulatory pressure of being regulated by the FCA and PRA are consistent across all Banks.

My Compliance Centre supports many of these, including all the expected compliance registers, deployment of unlimited Monitoring Plans, within Risk, Compliance and Internal audit, and the management of employee compliance within areas such as Conflicts and Attestations.

Regulatory Changes across multiple domestic and international regulators can be tracked and actioned and, of critical importance, governance across the entire committee structure can be enhanced using the Board and Committees module. 

Employee Compliance

Our Employee Compliance Solution aligns all your compliance requirements into an automated system, saving time and is simple to implement.

Compliance Operations

My Compliance Centre supports the core compliance operations carried out by Compliance teams on a daily basis.

Governance

My Compliance Centre integrates your Governance, SMCR and Compliance frameworks in a single integrated system.

Trusted By

Banking My Compliance Centre

Request a Demo Today