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Compliance

VieFUND back-office system provides swift, user-friendly, and efficient compliance module, with comprehensive audit trail, for investment dealers to go through compliance workflows.

VieFUND’s integrated Compliance module provides many helpful features that help investment dealers successfully manage risk and compliance strategies.

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….

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