Please note the agenda is subject to change

The page will be updated with further details on the agenda once they are confirmed.

08:15

Registration

09:00

Plenary 1 – Enforcement trends

Chair’s Welcome

  • The revised penalty framework six years on – has it impacted on fines?
  • Enforcement against individuals – what do the data say?
  • UK vs. US fines in comparative perspective
  • The outlook for fines on firms
  • The main trends from the SFO perspective, namely;
    • an increase in corporate prosecutions involving foreign bribery,
    • the first charges brought under section 7 of the Bribery Act 2010
    • the first Deferred Prosecution Agreement
  • What are internal investigations? Why are they needed?
  • Who conducts internal investigations?
  • What interests do regulators have in firms’ internal investigations?  How are they relevant to the enforcement process and even criminal investigations?
  • Are internal investigation confidential?  How does legal professional privilege apply? Common pitfalls of internal investigations – what can go wrong? The appropriate stakeholders are not involved or informed, evidence gathered is not complete or no audit trail was maintained, evidence is destroyed, those investigating not qualified to perform investigation, etc.
  • What happens when the internal investigation turns into an external one by a regulator or prosecutor?
  • How important is independence in an investigation?
  • How can e-Discovery be used more efficiently?
  • What about securing data and other electronic evidence?
  • What are the components of a robust investigation plan?

10:00

Plenary 2 – Conduct, culture, and individual accountability; Practical challenges of the Senior Managers and Certification Regimes

  • How culture & conduct underpin fair outcomes for customers
  • The erosion of trust – and efforts to regain it
  • Aspiration vs. reality – the hard yards
  • De-coding the new Senior Managers and Certification Regime
  • Understanding the impact for individuals at different levels of seniority
  • Application to UK branches of overseas banks
  • Strategic versus tactical – challenges for global platforms
  • Explaining what SMF 7 means in a distributed management environment for overseas senior colleagues;
  • Ensuring the responsibility map is exhaustive and exclusive – so avoiding duplication and managing the hand-offs
  • From SIF to Senior Manager – key regime differences
  • Avenues of personal regulatory exposure for Senior Managers under the SMR
  • What do ‘reasonable steps’ look like in practice?
  • The importance of demonstrability
  • The challenges of scoping Certified Persons populations
  • Managing the fitness and propriety assessment process
  • Notifying the regulator: what does the new world look like?
  • Training of Certified Persons
  • Roland Nattrass Senior Manager Global & European Regulatory Developments, HSBC Holdings
  • David Berman Partner, Macfarlanes
  • Polly James Senior Associate, Berwin Leighton Paisner LLP
  • James Greig Associate General Counsel. Head, Office of Public Policy and Regulatory Affairs, EMEA , Bank of New York Mellon
  • Richard Thompson Principal Ombudsman and Quality Director, Financial Ombudsman Service

11:15

Morning break

11:30

Morning Breakout Options

1. Remuneration: Recent developments

  • Key practical challenges
  • Application of proportionality
  • PRA supervisory statement
  • Regulatory expectations of firms in different sectors
  • New UCITS remuneration code
  • Jason Butwick Partner, Dechert
  • Simon Hills Executive Director, Prudential Capital, Risk and Regulatory Relationships, British Bankers Association
  • Alan Murray Senior Manager, Remuneration, Cross Sectoral Policy, Prudential Policy Directorate, Bank of England

2. FinTech: Tailwinds and headwinds

  • What is FinTech?
  • Regulatory backdrop
  • The regulatory sandbox
  • Update from the FCA innovation Hub
  • New authorisations
  • Crowdfunding
  • Blockchain
  • Digital currencies
  • What’s next?

3. Competition: Financial services update

  • Where are we one year on from the FCA assuming its concurrent competition powers with the CMA?
  • Recent market studies in the financial services sector
  • Latest trends in the CAT
  • High court litigation
  • Review of important case law
  • Eve Cinnirella Manager, Competition Disivion, FCA
  • Marcus Smith QC Fountain Court Chambers , and Chairman Competition Appeal Tribunal
  • Natalie Greenwood Greenwood, Senior Competition Lawyer, Litigation, Regulatory & Competition, Group Legal Department, Lloyd's Banking Group
  • Satyen Dhana Partner, CMS Cameron McKenna

13:00

Lunch Break

13:45

Afternoon Breakout Options

4. FCA Priorities in 2016

  • Financial advice and the FAMR
  • Pensions freedoms
  • Behavioural economics
  • Data security
  • Cyber risk and security
  • “Smart” customer communications
  • Focus on wholesale markets
  • Implementation of the second Payment Services Directive (PSD2)
  • Forthcoming changes to complaints- handling rules
  • FCA Supervisory model

5. Market abuse: Implementing MAR

  • An introduction to MAR and associated secondary legislation and guidance;
  • A discussion of the new rules on market soundings and wall-crossing, including the obligations on disclosing market participants and recipients of market soundings.
  • Handling inside information and the regulation of PDMR dealings
  • The treatment under MAR of algorithmic and high frequency trading
  • The obligation to report suspicious orders and the additional burdens it will impose, as well as a brief summary of the other matters covered by MAR
  • The manner in which circumstances will be investigated and sanctions imposed
  • The possible consequences of a Brexit

6. Asset management sector: opportunities and challenges

  • UCITS V. How will we make this work in practice
  • Shadow banking and investment funds
  • Impact of CMU on sector
    • Can CMU give new impetus to ELTIFs?
    • Cross border investigations
  • FCA Market Study
  • Richard Frase Partner, Financial Services and Investment Management, Dechert LLP
  • Maja Augustyn Strategic Analyst - Public Affairs, BNP Paribas
  • Stuart Corrigall Director and Head of Product Structuring in EMEA, BlackRock
  • James Witt Managing Director & Managing Counsel, BNY Mellon Investment Management

15:00

Afternoon Break

15:30

Plenary 3 – What is on the Horizon? MiFID II, developments in cyber and privacy. EU legislation, and influencing future decisions

  • Implementation of MiFID II and MiFIR: where are we now and what else are we waiting for?
  • Key practical steps for firms between now and January 2017
  • Key challenges for firms in different sectors
  • Developments in Cyber and Privacy – what is the overlap?
    • NIS Directive – what does it mean for financial institutions?  How to prepare?
    • How will the overlap be addressed between the ICO, FCA and UK CSIRT?
    • Data breach reporting – will there be duplication?
  • CMU: what’s it all about and why do we care?
  • Influencing the EU legislative process: what you should do and when
  • What are the current drivers for reform
  • How are these legal and regulatory reforms likely to shape my business?
  • Keeping up with the pace of EU regulations and conflicts with EU developments
  • Richard Frase Partner, Financial Services and Investment Management, Dechert LLP
  • Vivienne Artz Managing Director, IP Law Group, Citi
  • Richard Gardiner Head of Public and Regulatory Affairs, Federation of European Securities Exchanges (FESE)
  • Dr Martin Wagener Head of Regulatory Affairs, Boerse Stuttgart
  • James Witt Managing Director & Managing Counsel, BNY Mellon Investment Management

17:00

Drinks reception and networking