Regulatory Compliance Systems features explained
for Risk & Compliance
Every feature we track for Regulatory Compliance Systems products, with a description of what each one means.
Core Compliance Monitoring
Features focused on tracking, automating, and documenting regulatory requirements and compliance obligations.
- Audit Trail Generation
- Maintains comprehensive logs of all compliance activities and policy changes.
- Automated Rule Monitoring
- Automated checks of fund operations against current regulatory rules.
- Compliance Dashboard
- Centralized dashboard summarizing current compliance status and outstanding issues.
- Custom Rule Configuration
- Allows creation and maintenance of firm-specific rules in addition to regulatory ones.
- Exception Management
- Tools for identifying, documenting, and resolving compliance exceptions.
- Post-Trade Compliance Checks
- Analyzes executed trades for post-factum regulatory compliance.
- Pre-Trade Compliance Checks
- Verifies trade compliance prior to execution.
- Real-Time Alerts
- Notifies users instantly when potential compliance breaches occur.
- Regulatory Change Updates
- System is updated with changes and interpretations of relevant regulations.
- Violation Escalation Workflow
- Automated workflows for managing responses to potential or actual compliance violations.
Data Integration & Management
Capabilities for ingesting, normalizing, and managing compliance-relevant data from multiple sources.
- API Connectivity
- Modern API support for seamless integration with other applications.
- Automated Data Reconciliation
- Cross-checks transaction and position records to spot discrepancies.
- Bulk Data Upload
- Supports batch imports for large data sets (e.g., historical records).
- Data Encryption at Rest
- Securely encrypts stored regulatory and compliance information.
- Data Encryption in Transit
- Ensures sensitive compliance data is encrypted during network transfers.
- Data Normalization
- Transforms disparate data sets into a common format for analysis.
- Data Quality Checks
- Validates incoming data for completeness and accuracy before use.
- Flexible File Import/Export
- Handles multiple file types for interoperability with legacy systems.
- Multi-Source Data Feeds
- Integrates with custodians, trading systems, market data, and third-party risk services.
- Real-Time Data Processing
- Processes incoming data in near real time for the most current insights.
Integration & Connectivity
The ability of the system to connect with internal and external systems for data sharing and operational efficiency.
- Custodian and Prime Broker Integration
- Direct data feeds from banks and prime brokers for up-to-date positions and transactions.
- Custom Integration Development Toolkit
- SDK and documentation for developing custom system connectors.
- Message Queue Connectivity
- Support for message queue protocols (e.g., Kafka, RabbitMQ) for large-scale events.
- Portfolio Management System Integration
- Seamless data import/export with PMS, OMS, or accounting platforms.
- RESTful & SOAP APIs
- Modern and legacy API protocol support.
- Regulator Portal Submission
- Direct, automated submission to regulatory portals (e.g., SEC EDGAR).
- SFTP/FTP Data Transfer
- Secure file transfer for batch data loads and reporting.
- Single Sign-On (SSO)
- Integration with enterprise SSO solutions for seamless authentication.
- Third-Party API Support
- Robust API ecosystem for integration with regtech or analytics tools.
- Webhook Support
- Real-time notifications and data pushes to other applications.
Regulatory Change Management
Tools for tracking, assessing, and adapting to changes in the regulatory environment.
- Automatic Rulebase Update
- System automatically updates compliance monitoring based on regulatory changes.
- Change Communication
- Automated alerts and updates to all users affected by policy changes.
- Change Task Assignment
- Creates and assigns tasks related to implementing regulatory changes.
- Gap Analysis Tools
- Identifies and analyzes areas where current processes may be non-compliant with new regulations.
- Impact Assessment Tools
- Maps regulatory changes to impacted policies, controls, and business lines.
- Policy Update Workflow
- Managed workflows for revising and approving compliance policies.
- Regulator Correspondence Tracking
- Stores and manages communication with regulators regarding rule changes.
- Regulatory Calendar
- Timelines for key regulatory change deadlines and milestones.
- Regulatory News Feed
- Automatically imports latest regulatory updates from trusted sources.
- Version Control
- Tracks changes to compliance manuals and regulatory documents.
Reporting & Documentation
Support for regulatory, internal, and ad hoc compliance and risk reporting requirements.
- Audit-Ready Documentation
- Organizes and formats documentation for easy retrieval during audits.
- Automated Regulatory Reporting
- Generates and files reports required by relevant authorities (e.g., SEC, ESMA, FCA).
- Custom Report Generation
- Flexible tools to create reports tailored to internal or external stakeholder needs.
- Customizable Permissions
- Access to reports and documents controlled by user roles.
- Data Export
- Exports data in a variety of industry-standard formats (e.g., CSV, XML, XBRL).
- Document Archiving
- Secure and searchable storage of compliance documents and evidence.
- Regulation-Specific Templates
- Pre-built reporting templates for key regulations (AIFMD, Form PF, MiFID II, etc).
- Scheduled Reporting
- Automated scheduling and delivery of reports.
- Self-Service Reporting
- Allows end-users to generate and customize reports without IT involvement.
- Workflow Audit Logs
- Preserves historical records of reporting activities and user access.
Risk Assessment & Management
Capabilities for identifying, quantifying, mitigating, and monitoring regulatory and operational risks in fund management.
- Automated Risk Mitigation Reminders
- Notifies responsible parties of required mitigation activities.
- Incident & Loss Event Logging
- Captures details of compliance or operational risk events and remediation.
- KRI Monitoring
- Tracks Key Risk Indicators defined within the risk management framework.
- Linkage of Controls to Regulations
- Maps internal controls to regulatory obligations for better gap detection.
- Periodic Risk Review Scheduling
- Plans recurring reviews and updates to risk assessments.
- Risk Control Library
- Central repository for standard controls and their effectiveness assessments.
- Risk Heatmaps
- Visualizes areas of highest compliance and operational risk.
- Risk Mitigation Workflow
- Structured processes for investigating and closing out identified risks.
- Risk Scoring Engine
- Calculates risk scores based on current regulatory and operational exposure.
- Scenario Analysis
- Assesses impact of hypothetical compliance breaches or regulatory changes.
Scalability & Performance
Ensures system remains responsive and reliable as data volumes and user counts increase.
- Cloud and On-Premise Support
- Supports both deployment models, as needed by the organization.
- Concurrent User Support
- Handles simultaneous logins and usage by multiple compliance staff.
- Disaster Recovery
- Ability to recover compliance data and settings after critical failure.
- Elastic Storage Scaling
- Automatic increase in storage allocation as data grows.
- High-Volume Data Processing
- Capable of ingesting and analyzing large sets of transactional data.
- Load Balancing
- Distributes workload efficiently across servers.
- Redundancy & Failover
- Backup mechanisms to maintain service during system outages.
- Response Time
- Average system response time under maximum load conditions.
- Scheduled Downtime Notifications
- Advanced notice and minimal disruption during system maintenance.
- Uptime Guarantee
- SLA-based assurance of system availability.
Security & Privacy
Protects sensitive compliance data and ensures privacy obligations are met.
- Advanced Threat Detection
- AI or signature-based recognition of malicious activity.
- Audit Logging
- Immutable logs of all system activity.
- Data Encryption (At Rest and In Transit)
- AES, TLS, or equivalent encryption for compliance datasets.
- Data Masking
- Hides sensitive data when not absolutely necessary for user role.
- Data Retention Controls
- Configurable settings for how long sensitive information is stored.
- GDPR/CCPA Compliance Tools
- Mechanisms to support global data privacy regulations.
- Granular Access Controls
- Permissions at data, action, and record levels.
- Penetration Testing Certification
- Third-party security testing on a regular basis.
- Security Incident Notification
- Alert system for detected security breaches.
- User Authentication Options
- Choice of password, token, or biometric login.
Surveillance & Transaction Monitoring
Automated oversight over trades, employee transactions, and fund operations for suspicious activity, insider trading, and other risks.
- AML Screening
- Automated screening for Anti-Money Laundering (AML) flags in fund flows and counterparties.
- Counterparty Risk Assessment
- Evaluates compliance risks associated with trade counterparties.
- Employee Personal Trading Monitoring
- Tracks and reviews personal trades by relevant employees for policy compliance.
- Insider Trading Detection
- Identifies patterns and suspicious activity suggesting insider trading.
- Pattern Recognition
- Machine-learning based detection of unusual or anomalous patterns in transactions.
- Surveillance Rule Customization
- Allows user customization of surveillance scenarios and thresholds.
- Threshold and Limit Monitoring
- Flags trades and positions exceeding predefined compliance limits.
- Trade Surveillance
- Monitors trades for potential market abuse, manipulation, or limit breaches.
- Transaction Velocity Monitoring
- Tracks frequency and volume of transactions.
- Watchlist & PEP Screening
- Cross-checks parties against global watchlists and Politically Exposed Person (PEP) databases.
Usability & User Experience
Facilitates ease of use, learning, and adoption by compliance professionals and other stakeholders.
- Accessibility Features
- Support for WCAG, screen readers, and keyboard navigation.
- Customizable Dashboards
- Users can tailor home screens to their functional requirements.
- Feedback & Support Ticketing
- Easy method to report issues and request enhancements.
- Help & Training Resources
- Contextual help, tutorials, and user guides built into the application.
- Intuitive User Interface
- Modern UI simplifies complex compliance scenarios for all users.
- Localization & Multilingual Support
- Usable by global teams in multiple languages.
- Onboarding Wizard
- Guided setup process for new users or teams.
- Responsive Design
- Works across desktop, tablet, and mobile devices.
- Role-Based Views
- Interface elements visible or hidden according to user role.
- Search & Filter Functionality
- Powerful search and filtering for large compliance datasets.
User & Workflow Management
Managing user access, workflow automation, and task assignment to streamline compliance operations.
- Bulk User Management
- Efficient onboarding/offboarding and permissions management for multiple users.
- Custom Workflow Builder
- Admins can configure or adapt workflow steps to fit internal compliance procedures.
- Delegation & Escalation
- Automated reassignment of tasks due to absence or escalation due to time-sensitive issues.
- Multi-Factor Authentication
- Layered security for user login and system access.
- Role-Based Access Control
- Assigns user permissions based on job function or seniority.
- SLA Tracking
- Monitors task turnaround against internal and regulatory deadlines.
- Task Notifications
- Automated alerts and to-do reminders for compliance staff.
- User Activity Monitoring
- Tracks and audits user activity to prevent unauthorized changes.
- User Audit Trail
- Logs all actions taken by users for compliance and internal review.
- Workflow Automation
- Automates routine compliance tasks and approval processes.