Compliance and Risk Management Rulebook
- Introduction
 - Part I – Compliance Management
 - Part II – Tax Reporting and Compliance
 - 
        Part III – Anti-Money Laundering and Combating the Financing of Terrorism
                                
- Introduction
 - A. Appointment and Duties of Money Laundering Reporting Officer
 - B. Policies and Procedures
 - C. AML/CFT Controls
 - D. Risk Assessments
 - E. Client Due Diligence
 - F. Suspicious Transaction Monitoring and Reporting
 - G. FATF Travel Rule
 - H. Compliance with targeted financial sanctions
 - I. Record keeping
 - J. Enforcement
 
 - Part IV – Client Money Rules
 - Part V – Client Virtual Assets Rules
 - Part VI – Anti-Bribery and Corruption
 - 
        Part VII – Sponsored VASPs
                                
- A. Interpretation
 - B. Requirement to Obtain Prior Approval
 - C. Application Process
 - D. Establishing a Sponsored VASP Relationship
 - E. Regulatory Status, Marketing and Disclosures
 - F. Compliance Responsibility
 - G. Responsible Officer
 - H. Capital and Prudential Requirements
 - I. Accounts
 - J. Complaints Handling Requirements
 - K. Governance and Reporting Responsibilities
 
 - Schedule 1 – Definitions