Some of which are:
- Front-line compliance review for advisors.
- Wide range of configurable compliance settings such as: risk and investment objectives display, required compliance documents, user permissions, pre-trade approval, transaction types to be reviewed, amount threshold to be reviewed, etc.
- First & Second compliance level as per MFDA standards.
- Comprehensive transactions, fund accounts, and plans details.
- Automated delivery of notification to responsible advisors regarding compliance decision.
- Compliance dashboard for quick access to the compliance items of the dealer.
- CRM responsive compliance notification simplifies the dealer tasks pre-populating data for the advisor and administrators to track later.
- Easily identifiable incomplete KYC and KYC updates to help the workflow and efficiency of the compliance officer.
And much more….