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Engage with ACA’s partners, professionals, and thought leaders as they share insights and resources on emerging issues and technical topics related to governance, risk, and regulatory compliance.
Industry Insights
The SEC Reopens Registration Pathway for Swiss Investment Advisers
New opportunities are available for Swiss-based firms seeking access to U.S. markets. Since the introduction of GDPR by the European...
Why Leading Organizations Are Moving Beyond Traditional Penetration Testing
The cyber threat landscape is not just growing, it is mutating. Modern cyberattacks, supercharged by the power of generative AI,...
New Prudential Rules for Firms Operating in the DIFC
The Dubai Financial Services Authority’s (DFSA’s) Consultation Paper No. 161 (CP161), sets out significant reforms to the prudential regime for...
Events and Webinars
Understanding DOJ’s Data Security Rules: A Compliance Wake-Up Call for Financial Firms
The U.S. Department of Justice (DOJ) has issued new rules restricting access of sensitive personal and government-related data to designated...
Investment Performance and Compliance: What Wealth Managers Need to Know
Properly portraying investment performance is essential. It is key to meeting regulatory requirements, attracting investors, and maintaining investor confidence. Yet...
Managing Third-Party AI Risk: What Firms Need to Know
Third-party vendors now support many core business functions, and the rapid adoption of AI is accelerating both innovation and exposure....