KPMG’s Insurance Risk and Regulatory Seminar Series: Market conduct and Regulatory compliance
Posted: 6 January 2016 | Source: KPMG
Conduct impacts have been felt in the U.S. and the UK and it is becoming more prevalent on Canadian Insurance company’s executive agendas. In addition, OSFI issued its new Regulatory Compliance Management Guideline in November 2014 that further defined regulatory roles and responsibilities on the Board, management and oversight functions. In this session, find out more about the stages along the regulatory road map.