Journal of Financial Compliance
2017 - 2025
From Henry Stewart Publications
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Volume 1, issue 4, 2018
- AI and DEI: Do inclusive ads speak to the culture? An examination of marketing advertisement’s efficacy to Gen Z consumers pp. 81-93

- Jose Neil Hortillo, Keira Moore and Sha’Mira Covington
- Editorial pp. 292-293

- Unknown
- Using complaints handling insight to enhance conduct risk assessment pp. 294-300

- Sheraz Afzal
- Analysing the role of technology in compliance and regulatory structures pp. 301-313

- Gerard Fullarton
- Detecting, investigating and preventing fraud: Can it truly be prevented? pp. 314-327

- Mark Kaplan and Elin Cherry
- Tipping the scales for insider-trading liability: The consequences of Martoma pp. 328-336

- Alex Lipman and Olivia Gonzalez
- Service provider due diligence: An overview pp. 337-344

- Bart J. Mcdonald
- Data protection, anti-money laundering and tax evasion: Seeking an equilibrium between public policy and fundamental rights pp. 345-356

- Fabio Polverino
- Navigating personal data rights in an increasingly digital and machine world pp. 357-363

- Jeewon Kim Serrato, Marc Elzweig, Steven Lee and Andy Gandhi
- Compliance with the owned entity and independent account controller exemptions under CFTC Rule 150.4 pp. 364-372

- Carolyn Jackson
- AUSTRAC v Tabcorp: A case study in enforcement action by Australia’s financial crime regulator pp. 373-380

- Ben Scott
Volume 1, issue 3, 2017
- Editorial pp. 192-193

- Unknown
- Courts as gatekeepers: The perils of defending against whistleblower retaliation suits pp. 194-202

- Robert G. Houck and Benjamin A. Berringer
- Reporting as an SYSC issue: Establishing governance maps for transaction reporting pp. 203-212

- Adedayo Banwo
- Interaction of RegTech with EU privacy, AML and payments regimes pp. 213-226

- John Karantzis
- Kenya’s deficiencies in its anti-money laundering/counter-terrorist financing framework: An analysis and possible solutions pp. 227-236

- Halfan Mkiwa
- Internal audit: Raising the bar in auditing financial crime risk pp. 237-244

- Samar Pratt and Erika Peters
- What faster payments means for anti-money laundering compliance pp. 245-254

- Henry Balani
- Managing correspondent banking ML/TF risks: Recent regulatory developments on the risk-based approach model pp. 255-266

- Jan-Gerrit Iken and Alejandro Agudelo
- Challenges in implementing the ‘Fifth Pillar’ pp. 267-275

- Robert Molloy
- Behavioural patterns in rogue trading: Applying control balance theory to the rogue traders Nick Leeson, Jérôme Kerviel and Kweku Adoboli — Part 2 pp. 276-284

- Hagen Rafeld, Sebastian G. Fritz-Morgenthal and Peter N. Posch
Volume 1, issue 2, 2017
- Editorial pp. 100-101

- Unknown
- Dealing with politically exposed persons: Navigating the changing regulatory environment pp. 102-111

- Susannah Cogman and Elizabeth Head
- Investigations by multilateral development banks: How to manage risks, responses and expectations pp. 112-122

- Chiawen Kiew
- Why the DNA of beneficial owners prevent companies from self-submitting beneficial ownership information pp. 123-136

- Anders A. L. Rodenberg
- Personal liability: What compliance professionals need to know pp. 137-146

- Polly Greenberg
- Compliance meets human resources: Monitoring competence and integrity pp. 147-155

- Matthew Connell
- Behavioural patterns in rogue trading: Analysing the cases of Nick Leeson, Jérôme Kerviel and Kweku Adoboli — Part 1 pp. 156-171

- Hagen Rafeld, Sebastian Fritz-Morgenthal and Peter N. Posch
- The position of individuals in regulatory investigations: A changing landscape pp. 172-182

- Guy Wilkes and Francis Kean
Volume 1, issue 1, 2017
- Editorial pp. 4-5

- Unknown
- A culture of learning: Reinforcing a firm’s values, ethics and culture through building a learning environment in compliance pp. 7-16

- Michael Roemer and Mark Buckle
- Predictive analytics in fraud and AML pp. 17-26

- Clinton Mills
- Man versus machine: Balancing automation and manual reviews to strengthen risk monitoring pp. 27-36

- Matthew Mclaughlin
- Risk impact is in the eye of the beholder: The difficulties faced by the regulator in an offshore financial centre pp. 37-45

- Paul Coleman
- AML professionals and frontline staff: Bridging the divide pp. 46-55

- Heather Allen and Anne Archer
- Implementing ethical culture across the Australian financial landscape pp. 56-63

- Richard Brandweiner and Susan Morey
- An intelligence led approach to addressing cyber fraud: Proactive fraud auditing pp. 64-71

- Elizabeth Petrie
- The new era of anti-financial crime compliance pp. 72-80

- Marios M. Skandalis
- Senior management training, accountability and oversight for anti-money laundering compliance pp. 81-88

- Zachary C. Miller and Lauren Kohr
- Ensuring good governance throughout the product life-cycle: A financial planner’s view pp. 89-94

- Nick Bamford