MiFID/MiFIR: key requirements

e-learning

An wen richtet sich die Weiterbildung?

Asset managers, client advisors, front-office representatives and other professionals in scope of the CSSF circular 17/665.

Dauer

1,00 Stunde(n)

Sprache(n) der Dienstleistung

EN

Nächster Termin

Ziele

PwC Academy proposes a stand-alone digital tutorial from the MiFID certification e-learning suite, specifically designed to support the regular update of general knowledge and competence related to MiFID II requirements.

By the end of this training, participants will be able to:

  • recognise the impact of the MiFID II regime on financial market participants and structures and par, including organised trading facilities (OTFs), systematic internalisers (SIs), derivative trading obligations, market access, and dark pools and broker crossing networks;
  • identify how MiFID II aims to improve both pre- and post-trade transparency;
  • recognise the importance of transaction reporting and governance under the MiFID II framework;
  • quantify the impact of MiFID II on the various business lines of financial institutions.

Inhalt

Topic 1: Market structure
  • Organised Trading Facilities (OTFs) and Systematic Internalisers (SIs)
  • Changes to the SI regime
  • Derivative trading obligations
  • Market access
  • Dark pools and broker crossing networks
Topic 2: Market transparency
  • Pre-trade transparency
  • Post-trade transparency
Topic 3: Investor protection
  • Product governance: definition, target market criteria, regulatory requirements
  • Investment advice
  • Suitability and appropriateness provisions of MiFID II
  • Suitability and sustainability
  • Suitability reports
  • Inducements regulation of MiFID II
  • Investment research
  • Best execution
  • Conduct of business: product coverage
Topic 4: Transaction reporting
  • Transaction reporting: Purpose, scope and responsibilty
  • Approved reporting mechanisms (ARMs)
Topic 5: Other key requirements
  • Commodity derivatives: limits and trading restrictions
  • High frequency trading and controls
  • Internal control and governance
Topic 6: Impact on business lines
  • High-level impact
  • Buy-side and sell-side impact
  • Third-country access

Veranstaltungsart

We deploy our e-learning solution as from 10 licences.

  • From 10 to 50 participants: 75 EUR
  • From 51 to 150 participants: 70 EUR
  • From 151 to 300 participants: 60 EUR
  • More than 300 participants: 50 EUR

Zusätzliche Informationen

This course has been designed with the support and collaboration of Cécile Liégeois, Partner and is coordinated by Isabelle Willequet, Senior Manager at PwC Luxembourg.

  • Cécile Liégeois is a partner specialising in audit and regulatory matters within the Financial Sector industry, with over 25 years of professional experience in Luxembourg. She possesses extensive expertise in Luxembourg banking, payment, and investment firm regulations, including MiFID II, governance, compliance, outsourcing, DORA, SFDR, and PSD2. Cécile leads external audits of banks, financial sector professionals, and management companies, preparing regulatory reports and managing projects on new regulatory implementations with a focus on business, regulatory, and operational impacts. She also supports the establishment of new regulated entities or branches such as banks, MiFID firms, or payment institutions. Her client work includes audits, regulatory impact assessments, compliance assistance, AML reviews, and outsourcing framework evaluations.
  • Isabelle Willequet is a senior manager with 29 years of professional experience in the Luxembourg banking sector, specialising in banking processes, associated risks, and the implementation of adequate controls. She has extensive expertise as a Project Manager, commercial support, and Business Risk Manager, with a strong background in internationally-oriented banking activities within a Group matrix organisation. Isabelle possesses deep knowledge of the 3 Line of Defense model and has led numerous operational and regulatory projects for major banking institutions. Her expertise includes banking regulations, internal controls, and project management, complemented by delivering MiFID training and providing regulatory assistance and business model advice to banks and investment firms.

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