Regulated firms manage dozens of distinct compliance processes. Some of those processes may be supported by proper systems. However, all too often the rest live in spreadsheets, inboxes and people’s heads. My Compliance Centre brings them onto one platform, with a single audit trail across all of them.

What It Does

Most compliance technology solves one process well and leaves the rest to manual work. The real cost is not the effort, it is that the evidence ends up in different places, in different formats, owned by different people, and has to be reassembled by hand every time the Board or the FCA asks. My Compliance Centre runs the processes that matter – monitoring, file reviews, registers, attestations, personal account dealing, regulatory change, SM&CR and governance – in one place, so the work and the evidence sit together.

How the platform fits together

Every action across every module is recorded the same way, so evidencing compliance means pointing at the system, not rebuilding the picture.

A user hierarchy gives front line, compliance, audit and external consultants access to their own data and MI, so oversight is shared rather than stuck with one team.

Dashboards pull from every module, so you can take a bird’s-eye view or drill into a single finding without leaving the platform.

The platform comes from a team that ran one of the UK’s leading FCA compliance consultancies. It reflects how compliance is actually done.


Explore the modules


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