Regulatory Compliance Systems features explained

for Risk & Compliance

Platforms that track regulatory requirements, manage compliance workflows, and document adherence to various financial regulations such as UCITS, AIFMD, MiFID II, SEC rules, and other jurisdictional requirements.

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.

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