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Insights and alerts related to the SEC's new Marketing Rule

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Regulatory change is here for Private Fund Advisers

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Q3 2021 Regulatory Reporting Deadlines

Regulatory filing submission deadlines for the SEC, CFTC/NFA, and ESMA occurring from July through September 2021

Article
  • Compliance
  • Regulatory Deadlines
  • RegTech
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ACA's Regulatory Reporting Monitoring & Assurance (ARRMA) service winner of the 2021 HFM European Technology Awards

Within a year of launching, ACA Group is delighted to announce that our ACA Regulatory Reporting Monitoring & Assurance (ARRMA) service has been selected as Best Regulatory Reporting Solution in the 2021 HFM European Technology Awards.

News
  • RegTech
  • Trade & Transaction
  • ACA News
Roads and roundabouts

Protecting Your Business as Offices Reopen: A Seven Step Cybersecurity Action Plan for Physical and Hybrid Work Environments

ACA Aponix’s cybersecurity experts have developed the following action plan to help your firm review, revise, and implement a strong cyber program that will help protect your firm against reputational and financial damage as well as meet regulatory obligations, no matter what type of work model you’re employing.

Article
  • Cybersecurity
  • Cybersecurity Resources
Roads and roundabouts

EU Cross Border Fund Distribution Directive and Regulation - Raises More Questions than it Answers?

Marketing rules have traditionally taken a jurisdictional rather than EU wide harmonious approach. With new cross border distribution rules coming into play on 2 August 2021, we examine the impact on AIFs and UCITS funds.

Compliance Alert
  • Compliance
  • ComplianceAlpha
  • Brexit
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SEC to Investment Advisers: Cybersecurity Must Be a Comprehensive, Continually Evolving Program

This was the topic of discussion between the SEC’s Keith Cassidy, Head of the SEC’s Technology and Controls Program, and ACA Aponix® partner Mike Pappacena, during ACA’s spring conference. They discussed why the threat of a cyber-attack is so acute for investment advisers, how they can best protect themselves and their clients, and what the SEC expects from investment advisers’ cyber programs. Here are some highlights from their conversation.

Cyber Alert
  • Cybersecurity
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ACA Group Hires New Chief Commercial Officer Aimee Egan

ACA Group (ACA) today announced that Aimee Egan has joined the firm to lead all go-to-market functions (including Sales & Marketing) in a newly created role of Chief Commercial Officer. Aimee will join ACA’s executive leadership team and will oversee the execution of ACA’s growth plan.

Press Release
  • ACA News
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Podcast: SFDR - What investors really think

Dani Williams, Senior Principal Consultant for our ESG Advisory Division discusses the immediate challenges the SFDR regulation brings, and what needs to be changed.

Article
  • ESG
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Active Supply-Chain Ransomware Attack Against Kaseya VSA

Kaseya has warned of an active attack against a number of its customers using Kaseya’s VSA remote monitoring and management (RMM) platform. The attackers are using the platform to deliver REvil ransomware to systems, demanding $44,999 in funds to reclaim access to data.

Cyber Alert
  • Cybersecurity
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FinCEN Issues AML Priorities

FinCEN published its first government-wide priorities for AML on June 30, 2021. The priorities are intended to assist financial institutions in their efforts to meet obligations under regulations designed to combat money laundering and counter-terrorist financing.

Compliance Alert
  • AML and Financial Crime
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Majority of Firms in Breach of Transaction Reporting Requirements

Data from a Freedom of Information Request to the FCA has revealed that firms are either transaction reporting incorrectly or not adhering to the MiFIR requirement to monitor their reporting using submission data made available to them by the FCA.

Press Release
  • Compliance
  • Trade & Transaction
  • ACA News
  • FCA