The FTI Consulting Governance, Risk & Regulation (GRR) practice helps clients embed systems and controls that make customer interests central to all they do and maintain the integrity of the industry.
Our Services include:
Developing and assessing conduct risk frameworks. We review firm business models and whether potential conduct risks are identified and adequate controls are in place. Also, we evaluate end-to-end conduct risk management programmes for efficiency and effectiveness and recommend any enhancements.
Advising on key areas of conduct risk, including:
Fair treatment of customers
Conflicts of interest
Pre- & post-trade transparency
Other areas subject to pending regulatory change (e.g. MiFID II)
Financial benchmarking including development of processes that ensure compliance with global requirements, reviewing and assessing benchmark submission policies and procedures, and evaluating oversight arrangements.
Monitoring and surveillance programmesincluding evaluating existing programmes andrecommending improvements basedon market knowledge. We also develop new tools for testing controlsor perform specific transaction testsusing structured and unstructured data.