Webinar Description
Key Takeaways
- Explores bridging the gap between compliance policies and real-world risk management
- Focuses on disclosure management for conflicts of interest, gifts, and outside activities
- Highlights strategies for improving disclosure participation and standardising review processes
- Emphasises the importance of data-driven compliance and proactive risk management
- Targets compliance, risk, and governance professionals in regulated UK organisations
The event, “Beyond Policy: Are You Capturing and Controlling Disclosure Risk?”, is a virtual webinar designed to help UK organisations strengthen their approach to compliance and risk management. This session addresses the challenges of moving beyond policy creation to actively managing disclosure-related risks within regulated industries.
Understanding Disclosure Risk in Practice
Many organisations have established policies for conflicts of interest, gifts, and outside activities. However, these policies alone do not guarantee effective risk management. The webinar examines how organisations can gain true visibility into risk exposure by actively monitoring, reviewing, and managing disclosures.
Attendees will learn why low disclosure volumes should not be interpreted as low risk. The session provides insights into the importance of standardising and automating review and approval processes to ensure consistency and regulatory compliance.
Strategies for Proactive Compliance
The event offers practical strategies for improving disclosure participation and leveraging disclosure data as a proactive risk management tool. By moving from reactive administration to proactive compliance, organisations can better identify and address regulatory risks.
Participants will discover how to connect policy to real-world compliance through data-driven approaches. The session also covers the benefits of standardising processes and using technology to automate and document reviews, ultimately reducing regulatory risk.
Who Should Attend?
This webinar is tailored for compliance officers, risk managers, legal and HR professionals, audit teams, and senior management within regulated UK sectors such as financial services, healthcare, manufacturing, and government. The content is especially relevant for those seeking to enhance their organisation’s governance, risk, and compliance (GRC) programmes.
Event Format and Focus
The session is led by a subject matter expert and includes a 30-minute presentation followed by a Q&A segment. The event is positioned as both an educational opportunity and a platform for thought leadership, with a secondary focus on introducing NAVEX’s compliance solutions and technologies.
By attending, professionals will gain actionable insights to close the gap between policy and real-world risk, turning disclosure data into a valuable asset for proactive risk management and compliance effectiveness.
