Compliance
Compliance ensures the bank adheres to all applicable laws, regulations, and internal policies, and manages relationships with regulatory authorities, implementing controls to prevent regulatory breaches and financial crimes.
This department is part of the Banking business area .
Products fall into the following categories:
Anti-Money Laundering Systems
119 products
Solutions for detecting, preventing, and reporting potential money laundering activities and suspicious transactions.
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Know Your Customer (KYC)
112 products
Platforms for verifying customer identities, assessing risk, and meeting regulatory requirements for customer onboarding.
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Regulatory Reporting
50 products
Systems for automating the preparation and submission of required regulatory reports to supervisory authorities.
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Fraud Detection and Prevention
78 products
Solutions for identifying and preventing various types of fraud across banking channels and products.
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Compliance Management
168 products
Platforms for managing the overall compliance program, including policy management, training, and regulatory change management.
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