Compliance Officers Essentials: A Comprehensive Guide
Description
This 2-day intensive training program is specifically designed for compliance professionals or individuals aspiring to become Compliance Officers.
The course provides a comprehensive guide to the essential knowledge, skills, and best practices required for Compliance Officers to ensure that they are skilled to oversee the day-to-day management of the compliance program while also ensuring prompt reporting to the Board.
Course Content
- Introduction to the role of Compliance Officer
- Duties & responsibilities of the Compliance Officer
- Components of a compliance program
- Risk assessment exercises & onboarding procedures
- Testing the compliance program
- Preparing and navigating through regulatory inspections
- Compliance reports & reporting to the Board
MQA Approval/HRDC Refund: Yes
CPD Points: 6
Price: Rs 12,000
Delivery Mode: Face-to-Face
Duration: 6 hours
Speakers
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Pareen DabeesinghBarrister at Temple Law | AssociatePareen joined Temple Law as a Barrister in the Corporate Department in End-July 2024.
With 5 years in private practice, and advocacy, she brings her experience in various aspects of law including civil, criminal, and family matters including divorce and custody, but also her skills in Alternative Dispute Resolutions. As a trained mediator, she has been involved in numerous amicable divorce, property and custody settlements, negotiating the best win-win solution for parties and the legal finalization of their agreement.
Beyond her litigation and mediation practice, Pareen has keen interests in Construction Law and Dispute Resolutions. She has provided comprehensive support in Arbitration hearings relating to contractual disputes in the construction industry in Mauritius.
She has experience working with Engineers, Architects, Contractors and Arbitrators.
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Kiran BhoyrooMLRO & COKiran Bhoyroo, is the MLRO and Compliance Officer for two entities at Temple, with over 11 years of experience in banking compliance and audit. He is a specialist in financial crime, with deep expertise in AML, Bribery & Corruption, Sanctions, KYC, and investigations.
An ACAMS-certified professional and MBA graduate in Financial Services, Kiran has a strong track record of collaborating with auditors and regulators, implementing effective action plans, and ensuring timely closure of compliance findings. His leadership ensures robust second-line oversight, supporting sound risk management and regulatory compliance.