December 11, 2014 - Wolters Kluwer Financial Services and governance, risk and compliance expert and GRC 20/20 founder, Michael Rasmussen, today announced the release of a new report, "Regulatory Change Management: Effectively Managing Regulatory Change in Financial Services."
May 13, 2014 - By the start of 2014, nearly 6,000 changes were made to the U.K.'s Financial Conduct Authority/Prudential Regulation Authority handbook alone, causing an overload of new regulatory information for financial institutions.
April 23, 2013 - Compliance Assurance Corporation (CAC), a leading provider of regulatory compliance solutions for the insurance industry, today released the results of its regulatory change management survey.