RegTech Insight Risk, Governance & Controls The latest content from across the platform
AI in Finance: Key Insights from the SEC’s Landmark 2025 Roundtable
In late March, the U.S. Securities and Exchange Commission (SEC) hosted a landmark roundtable on artificial intelligence (AI) in financial services. Held in Washington, D.C., the event brought together regulators, technologists, market participants, and legal experts to explore the evolving landscape of AI – from transformative innovation to systemic risk. This wasn’t about rulemaking –…
Data Hurdles, Expertise Loss Hampering BCBS 239 Compliance
A combination of data management hurdles, talent shortages and poor succession planning are bedevilling banks as they struggle to respond to a long-standing risk data aggregation directive – even after repeated European Central Bank (ECB) criticism of their compliance shortfalls. The Basel Committee on Banking Supervision’s Principles for effective risk data aggregation and risk reporting…
November 2025 Deadline for ISO 20022: Are We Ready?
Global payment networks are undergoing a fundamental transformation as the financial industry transitions to ISO 20022 – a structured messaging standard designed to replace legacy formats and drive interoperability. In capital markets and treasury operations, this shift is most evident in the SWIFT cross-border payments network and high-value systems like the U.S. Fedwire. SWIFT’s Cross-Border…
Navigating Divergent AI Regulation – Can Standards Bring Clarity?
Artificial intelligence is transforming financial services, from automating credit assessments to streamlining compliance processes. But while AI capabilities are developing at pace, regulatory frameworks are struggling to keep up. Nowhere is this more apparent than in the contrasting approaches taken by the European Union and the United Kingdom. The EU has opted for a rules-heavy,…
Aryza Strategic Acquisition of RiskLogix Solutions Expands Compliance and Geographical Reach
Aryza, a global provider of mission-critical automation software across the credit lifecycle, is pleased to announce the acquisition of RiskLogix Solutions, a prominent provider of governance, risk, and compliance (GRC) solutions. This strategic acquisition reinforces Aryza’s commitment to delivering best-in-class Credit & Debt Lifecycle Management SaaS solutions and positions both companies for accelerated growth and…
SIX Rolls Out Data Service to Help Institutions Navigate Digital Asset Rules
Swiss based financial services and market infrastructure provider SIX Group as introduced a new data package designed to help financial institutions better understand their exposure to digital assets amid a rapidly changing regulatory landscape. The Digital Assets Regulatory and Tax Service provides a consolidated view of evolving obligations, aiming to support compliance efforts as digital…
10 Major Financial Regulations Reshaping Capital Markets in 2025 (and How to Stay Ahead of Them)
From sweeping reforms in operational resilience and AI governance to the first-time application of AML obligations to buy-side firms, the scope and depth of regulatory change shows no sign of slowing down in 2025. In this post, we present a selection of the most strategically significant regulations coming into effect or having significant impact on…
Behavox Adds Onshore Alert Review to Expand Managed Services Capabilities
Behavox has expanded its managed services offering to include an onshore Alert Review service, aimed at helping compliance teams tackle the growing volume of surveillance alerts across communications and trading platforms. The service is designed to reduce false positives and focus teams on the most critical escalations. Traditionally, firms have relied on internal teams or…
Modern Data Landscape Comes Under Scrutiny at Data Management Summit London
From data products and marketplaces to the new challenges of regulatory compliance and the latest thinking on unstructured data, A-Team Group’s Data Management Summit London 2025 took in the full breadth of topics that chief data officers and their teams are dealing with daily. With a line up of C-suite executives and expert speakers from…
Recorded Webinar: Detecting and preventing market abuse
Market abuse – unlawful disclosure of inside information, insider trading, circular trading, “pump and dump” schemes, etc. – poses significant threats to the integrity of capital markets. In 2024, global trading house Trafigura agreed to pay a $55 million fine to the U.S. Commodity Futures Trading Commission (CFTC) for trading with non-public information, manipulating a…







