Wealth Management Compliance Officer Specialization_Course 3
Last updated 2/2026
MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz, 2 Ch
Language: English | Duration: 47m | Size: 324.97 MB
Fiduciary Duty & Trade Compliance
What you'll learn
Distinguish between the fiduciary standard and Regulation Best Interest.
Identify common conflicts of interest and appropriate disclosure practices.
Explain trade surveillance techniques for detecting market abuse.
Describe policies for managing material non-public information (MNPI).
Requirements
No formal prerequisites required. Basic familiarity with financial services is helpful but not mandatory.
Description
Disclaimer
This course contains the use of artificial intelligence.
About the Specialization Program
This condensed short-form professional specialization program provides an accelerated introduction to wealth management compliance. This specialization program has four courses. Designed for the Coursera platform, it delivers approximately 45 minutes of video content per course with comprehensive supporting materials including hands-on labs, practice assessments, course-end projects, and graded assessments. The program consolidates essential knowledge from the comprehensive WMCO certification into four focused courses covering regulatory foundations, financial crime prevention, operational compliance, and technology-enabled risk management.
Learners will not only gain theoretical knowledge but also practical skills that can be applied immediately in professional settings. Each module is structured to balance conceptual clarity with real-world application, ensuring participants understand both the "why" and the "how" of compliance practices. Hands-on labs, scenario-driven assessments, and course-end projects provide context for complex regulations, making them easier to grasp and implement. The program is designed to build confidence in navigating compliance challenges, preparing learners for roles in advisory services, client-facing positions, or specialized compliance functions. By combining concise instruction with interactive practice, it empowers professionals to strengthen compliance awareness, enhance career readiness, and pursue deeper specialization with confidence.
The short-form format makes compliance fundamentals accessible to busy professionals seeking to understand the regulatory landscape governing wealth management, while providing a pathway to deeper specialization.
About the Wealth Management Compliance Officer Specialization Course 3: Fiduciary Duty & Trade Compliance
This course examines the ethical and legal obligations of wealth management professionals, including fiduciary duties, best execution, suitability, and conflict of interest management. It also introduces trade surveillance concepts and insider trading prevention controls.
Note:
We design learning experiences that are affordable yet closely match the effectiveness of classroom programs by combining clear, well-structured video lessons with detailed supporting notes. To get the most from our courses, we strongly recommend taking notes as you go and pairing videos with the active-learning elements we provide-hands-on labs, real projects, and regular assessments-to turn knowledge into practical skill. My team brings together leading experts across leadership, AI, innovation, project management, change management, learning design, retail, construction, manufacturing, pharma, and finance to build pragmatic, industry-informed courses. If you ever need help, reach out in the course and we will support your learning journey.
Who this course is for
Early-career professionals in financial services seeking foundational compliance knowledge.
Career-changers exploring wealth management compliance as a specialization.
Advisors and client-facing staff needing compliance awareness.
Students pursuing finance, accounting, or business degrees.
Code:
Bitte
Anmelden
oder
Registrieren
um Code Inhalt zu sehen!