MCO (MyComplianceOffice) CEO Brian Fahey published an article for Finance Derivative analyzing where AI can strengthen financial services compliance and governance.
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AI may change how compliance work is done. It does not change what firms need to demonstrate. In a new article for Finance Derivative, MCO (MyComplianceOffice) CEO Brian…
Company
MCO (MyComplianceOffice)
- Industry
- Software Development
- Location
- New York, US
- Company size
- 201–500 employees
About MCO (MyComplianceOffice)
MyComplianceOffice (MCO) is an integrated compliance management platform for financial services firms. MCO connects employee compliance, personal trading compliance, transaction monitoring, trade surveillance, third-party risk management, regulatory change, policy governance, and compliance risk management. With more than 30 compliance solutions across Know Your Employee (KYE®), Know Your Transactions (KYT®), Know Your Third Party (KYTP®), and Know Your Obligations (KYO®), MCO helps compliance teams centralize data, automate workflows, strengthen oversight, and maintain clear records across key compliance activities. Built for banks, asset managers, capital markets firms, insurers, and other regulated financial services organizations. Compliance Built Better.™
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Latest activity from MCO (MyComplianceOffice)
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Research & Knowledge
MCO (MyComplianceOffice) published a whitepaper exploring how connecting communications with broader employee compliance information can help firms make better surveillance decisions, focus review efforts, and strengthen oversight across the employee lifecycle.
Research & Knowledge
MCO (MyComplianceOffice) published an article breaking down AUSTRAC regulatory priorities for 2026-27, how RegTech turns obligations into reportable evidence, and how Tranche2 entities must enrol, assess risk, and evidence their controls.
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