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This book explains how to deal with legal, compliance, and enforcement issues faced by banks and other financial institutions and their legal advisers. It focuses on the practical application of the generally applicable regulations and rules under the Financial Services and Markets Act 2000 governing the financial services sector as it changed and developed during and after the financial crisis.The book considers the key changes made by the Financial Services Act 2012 and the Financial Services (Banking Reform) Act 2013 as well as policy developments brought about by the change in regime from the Financial Services Authority to the Prudential Regulation Authority and Financial Conduct Authority. Guidance is given on the application and enforcement of the rules taking all relevant sources into account including speeches and announcements by regulatory authorities, policy documents and pronouncements, practice developments, court cases, tribunal decisions, and enforcement proceedings.Providing real insight into the practical, legal, and policy issues affecting all dealing with the post-crisis regulatory environment, this book is essential for all advising on legal matters, compliance and enforcement in the financial sector.
This book investigates the practical application of legal and compliance frameworks governing the financial services sector in the United Kingdom following the 2008 financial crisis. Simon Morris, an expert in financial services law, utilizes his professional background to synthesize complex regulatory shifts, including the transition from the Financial Services Authority to the Prudential Regulation Authority and the Financial Conduct Authority. The text provides a comprehensive analysis of how legislative changes, such as the Financial Services Act 2012 and the Financial Services (Banking Reform) Act 2013, dictate the operational realities for banks and their legal counsel.
What You Will Find
Legal professionals and compliance officers frequently cite this work as a foundational reference for navigating the complexities of the post-crisis regulatory environment. Experts highlight the text for its ability to bridge the gap between abstract legislative requirements and the daily operational demands of financial institutions.
Page Count:
460
Publication Date:
2016-05-24
Publisher:
Oxford University Press
ISBN-10:
0199688753
ISBN-13:
9780199688753
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