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Foreside Compliance Manager from Foreside

A compliance solution specifically for investment advisers and fund managers. Features include automated monitoring of portfolio compliance, regulatory filing management, trade surveillance, Code of Ethics administration, and compliance program testing. The solution is tailored to the specific regulatory requirements of fund managers.

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Product analysis by function

Regulatory Compliance Systems for Risk & Compliance

Platforms that track regulatory requirements, manage compliance workflows, and document adherence to various financial regulations such as UCITS, AIFMD, MiFID II, SEC rules, and other jurisdictional requirements.
More Regulatory Compliance Systems More Risk & Compliance ...


Core Compliance Monitoring    
(0 Yes /0 Known /10 Possible features)

Reporting & Documentation    
(0 Yes /0 Known /10 Possible features)

Data Integration & Management    
(0 Yes /0 Known /10 Possible features)

User & Workflow Management    
(0 Yes /0 Known /10 Possible features)

Regulatory Change Management    
(0 Yes /0 Known /10 Possible features)

Risk Assessment & Management    
(0 Yes /0 Known /10 Possible features)

Surveillance & Transaction Monitoring    
(0 Yes /0 Known /10 Possible features)

Integration & Connectivity    
(0 Yes /0 Known /10 Possible features)

Usability & User Experience    
(0 Yes /0 Known /10 Possible features)

Security & Privacy    
(0 Yes /0 Known /10 Possible features)

Scalability & Performance    
(0 Yes /0 Known /10 Possible features)

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