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Marc Micallef

COMPLIANCE, RISK AND AML/CFT ASSOCIATE


Marc Micallef is a Compliance, Risk and AML Associate and assist clients in their regulatory and operational needs.


Experience

Marc brings over a decade of experience in the financial services industry, with a strong focus on compliance and risk management. His seven years at one of Malta’s largest local banks provided a solid foundation in the fund industry, including extensive client interaction while delivering depositary services to a diverse portfolio of funds. He then transitioned to a broader compliance role for two and a half years, where he developed compliance dashboards, key risk indicators, and played a key role in the yearly Compliance Risk Self-Assessment process, demonstrating expertise in data analysis, stakeholder management, and risk assessment.


Educational

With an accountancy background, Marc has earned the ICA Certificate in Compliance, is an active ICA member, and is currently pursuing the ICA Professional Postgraduate Diploma in Governance, Risk, and Compliance to further enhance his expertise.

Areas of Specialisation

Asset Management and Funds

Credit and Financial Institutions

Investment Services Firms

RMC WISE

FAQ'S

RMC Wise Ltd offers a range of services including but not limited to *Risk Management*, *Regulatory Compliance*, *Financial Services Consultancy*, *AML/CFT Compliance*, *Internal Audit*, and *Regulatory Reporting Services.*

Risk Management involves identifying, assessing, and prioritizing risks to minimize, monitor, and control the probability or impact of an event that may or may not have a negative outcome on the Company. RMC Wise tailors risk management solutions based on a thorough understanding of each client's risk profile, business model and overall objectives, offering services such as governance, policies & procedures, enterprise-wide risk assessments, outsourced risk management functions, and cyber risk support.

Regulatory Compliance ensures that a business adheres to external rules and internal controls imposed by regulatory bodies. It aims to protect license holders and their clients, ensure fair and transparent markets, reduce systemic risk, and combat financial crime. The Compliance Function advises and assists personnel in complying with legal and regulatory obligations, regularly assessing the effectiveness of measures and procedures in place. This is done through the effective implementation of a risk-based Compliance Monitoring Programme (CMP).

RMC Wise Ltd helps businesses meet their Anti-Money Laundering (AML) and Counter Financing of Terrorism (CFT) obligations by providing services such as risk assessments, customer due diligence, ongoing monitoring, transaction reporting, and AML training. They assist firms in implementing robust frameworks to prevent financial crime and comply with regulatory requirements.

RMC Wise Ltd provides independent Internal Audit services to its clients. Internal Audit is crucial for ensuring the efficiency, security, and compliance of an organization. It provides independent assurance that a company’s risk management, governance, and internal control processes are functioning effectively. Moreover, Internal Audits help identify weaknesses, improve operational efficiency, and ensure compliance with regulatory requirements, reducing the risk of fraud and financial mismanagement. Our services include reviewing compliance with regulatory requirements, evaluating operational risks, and offering recommendations for process improvements to ensure organizations operate efficiently and securely. This is done through the effective implementation of a risk-based Internal Audit Plan.

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