20 - 25 minutes
Certificate Included
United States
This self paced course provides a practical, principles based overview of fraud, market abuse, and broader financial crime risks within financial institutions. Designed to be completed in approximately 20 to 25 minutes, the course is suitable for professionals working in compliance, AML, CFT, risk management, operations, and financial crime prevention roles. The course takes an internationally aligned approach, grounded in FATF standards, while remaining adaptable to local regulatory and supervisory expectations across jurisdictions. Learners will explore how fraud often acts as a predicate offence to money laundering, how cyber enabled crime and insider threats elevate institutional risk, and how market abuse undermines market integrity. Through realistic scenarios and behavioural indicators, the course emphasises risk based thinking, professional judgement, and appropriate escalation. It explains how controls operate in practice, what red flags matter most, and how staff actions directly support governance, regulatory compliance, and a strong compliance culture. Upon completion, learners will be better equipped to identify anomalous behaviour and respond confidently within their firm’s financial crime framework.
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