Compliance
The Compliance unit ensures adherence to regulatory requirements and internal policies across all brokerage operations. It monitors trading activities, maintains required records, submits regulatory reports, and implements controls to prevent market abuse and other violations.
This department is part of the Brokerage business area .
Products fall into the following categories:
Trade Surveillance Systems
43 products
Software that monitors trading activities to detect potential market abuse, insider trading, front-running, and other prohibited practices using pattern recognition and anomaly detection.
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Regulatory Reporting Solutions
23 products
Platforms that automate the preparation and submission of required reports to regulatory authorities, ensuring accuracy and timeliness.
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AML/KYC Compliance Software
25 products
Systems for screening clients against watchlists, monitoring transactions for suspicious activity, and maintaining regulatory compliance documentation.
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Electronic Communications Surveillance
42 products
Tools that monitor email, chat, and voice communications for potential compliance violations or inappropriate content.
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Policy Management Platforms
12 products
Systems for developing, distributing, and tracking acknowledgment of compliance policies and procedures across the organization.
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Audit Trail and Record-Keeping Systems
19 products
Solutions that maintain comprehensive records of all transactions, client interactions, and compliance activities for regulatory examinations and investigations.
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