Regulatory Advisory & Licensing Support for CMSA licensing in: Investment advisory Fund and asset management Digital asset exchanges (RMO under SC) Ongoing Compliance Management Periodic reviews and compliance reporting Guidance on local and international regulation Book a Free Consultation – Get Licensed Faster! Contact Us AML/CFT for Capital Market Entities Custom AML frameworks for: Brokers, investment managers, and fund operators SC compliance and FATF-aligned controls Corporate Governance & Risk Management Designing effective board structures Implementing internal oversight and control functions Aligning with SC governance best practices Book a Free Consultation – Get Licensed Faster! Contact Us Training & Education Topics include: Securities regulation Market conduct obligations Insider trading prevention Corporate responsibility and ethics Market Conduct & Insider Trading Controls Design and enforcement of policies including: Employee trading restrictions Trade surveillance systems Whistleblower reporting and escalation mechanisms