Compliance with Market Abuse Regulation (MAR)
The course is suited and recommended for the annual Continuous Professional Development (CPD) requirements of Compliance, AML and Brokerage officers, as well as professionals working at Cyprus Investment Firms (CIF) and other CySEC regulated entities.
online video recordings
certification of 5 hours of CPD
Director of Risk & Compliance at SALVUS Funds
- Member of the Global Institute of Internal Auditors (IIA)
- Member of the Cyprus Investment Funds Association (CIFA)
- Certified Actuarial Analyst (CAA)
- CySEC Advanced Certified Person
- CySEC certified Anti-Money Laundering Compliance Officer (AMLCO)
what is the Compliance with Market Abuse Regulation (MAR) course what are the learning outcomes?
The Compliance with Market Abuse Regulation course has been developed by SALVUS Funds to provide professionals with the necessary information regarding the European Market Abuse regulatory framework and pertinent operational requirements.
In today’s fast evolving financial ecosystem, the Market Abuse Regulation plays a critical role in safeguarding investors' and organisations' interests, as well as ensuring overall market efficiency. This self-paced course is designed to augment the knowledge and expertise of professionals employed in CIF, Crypto Asset Services Providers (CASP), and other CySEC (Cyprus Securities and Exchange Commission) regulated entities.
Professionals who undertake this course will obtain competencies to enhance company policies, procedures and controls towards the prevention, detection, and management of potential market abuse practices, by considering behaviours that consist unlawful disclosure of inside information, insider dealing and market manipulation, as well as the required characteristics of the trade surveillance systems employed.
The completion of this course counts towards Continuous Professional Development (CPD) annual requirements for CySEC Advanced, Basic and AML certifications.