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Courses/Law/Law Risk Management

AML and Fraud Risk Governance for Law Firms

Master the critical compliance frameworks and governance strategies required to protect your legal practice from money laundering and fraud.

Created byAdegbenga Koko
BeginnerUpdated Jun 8, 2026
AML and Fraud Risk Governance for Law Firms

What You'll Learn

check_circleExplain key financial crime risks affecting modern law firms, including AML and fraud exposures
check_circleIdentify governance and control weaknesses that increase financial crime vulnerability
check_circleAssess the effectiveness of trust account and escalation frameworks in mitigating risk
check_circleApply practical strategies for building integrated AML and fraud risk governance systems

About This Course

Law firms are increasingly exposed to financial crime risks from both external actors and internal control failures. Threats now extend beyond traditional AML concerns to include fraud, trust account misuse, cyber-enabled payment deception, identity fraud, and broader governance breakdowns that can result in significant regulatory and reputational consequences.

This session examines how law firms can develop an integrated financial crime governance framework that combines AML compliance with fraud prevention and enterprise risk management. Participants will gain practical insight into strengthening trust account controls, escalation pathways, partner accountability, investigative governance, and cross-functional coordination to reduce exposure while maintaining confidentiality and operational efficiency.

Key Topics Discussed

  • Evolution of financial crime risk in legal practice
  • AML compliance and regulatory expectations for law firms
  • Fraud risks: internal and external threat vectors
  • Trust account controls and safeguarding client funds
  • Cyber-enabled payment fraud and identity deception
  • Suspicious activity detection and escalation processes
  • Partner accountability and governance structures
  • Enterprise risk assessments for law firms
  • Conflicts exploitation and third-party exposure risks
  • Investigations governance and response frameworks
  • Cross-functional coordination between risk, finance, and compliance
  • Assurance and monitoring of control effectiveness
  • Regulatory, reputational, and operational risk management

Your Instructor

Adegbenga Koko
Adegbenga Koko

Senior Specialist - AML Advisory, Security, Risk & Compliance

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Experienced Regulatory Compliance Manager, Certified Anti-Money Laundering Specialist, Certified Fraud Examiner, Certified Financial Crime Specialist, Certified Forensic Investigator, Certified Compliance Manager and Chartered Accountant. Adegbenga is an experienced compliance professional with over thirteen years’ experience, gathered over two continents and four countries. His professional career started with Zenith Bank Nigeria as a Compliance Officer/Internal Auditor. He rose to become Regional Audit/Compliance Manager and was seconded to Zenith Bank Sierra Leone as the pioneer Chief Compliance/Chief Anti-Money Laundering Officer. He was the pioneer Chairman of the Association of Chief Compliance Officers of Banks in Sierra Leone. Adegbenga moved to North America in year 2013 and has worked with three of the first four Tier-1 Commercial Banks and a Mortgage Bank in Canada, in different roles as Anti-Money Laundering Compliance Manager, AML Consultant, AML Policy and Governance Consultant and Regulatory Compliance Specialist. He has also worked as Anti Money Laundering Senior Specialist with PwC Canada. He has facilitated AML/Regulatory Compliance/Fraud and Policy training programs in Nigeria, Sierra Leone, Senegal, Gambia and Canada. Adegbenga has a Master of Business Administration (MBA) Degree from Obafemi Awolowo University, Nigeria; Master of Science (MSc) in Forensic Accounting and Investigation; and a Postgraduate Certificate in Fraud Examination and Forensic Accounting from Seneca College, Ontario, Canada. He is currently pursuing his Doctorate (PhD) Degree in Strategic Management, with Specialization in Corporate Security Risk Management. He also has a Certificate in Risk Management from York University, Toronto, Ontario, Canada. In addition to his academic training, Adegbenga is also a Chartered Accountant (CA) in Nigeria and Sierra Leone (ACA); Chartered Tax Professional (ACTI); Certified Anti-Money Laundering Specialist (CAMS); Certified Financial Crime Specialist (CFCS); Certified AML Fintech Compliance Associate (CAFCA); Certified Fraud Examiner (CFE); Certified Forensic Investigator - Canada (CFI); Chartered Loss Prevention Specialist (ChLPS); Certified Physical Protection Professional (CPP); and Certified Compliance Manager (CCM). Adegbenga facilitates, consults and lectures regularly on Regulatory Compliance, Anti-Money Laundering, Fraud & Compliance Policy Awareness, Transactions Monitoring, Know-Your-Customer, EDD & Sanctions; AML Audit & Governance; AML Remediation and AML Project Management. He is a Certified Online Trainer, GCI Accredited Trainer and also Certified Trainer with CPD-UK.

Credit Information

Do these courses count toward my professional development requirements?

This portal is provided as a training and development resource for City of Markham employees. Every course is delivered by a qualified subject matter expert or learning organization, is quantifiable in hours, and is verifiable — you receive a documented certificate of completion for every course you finish, stored on LearnFormula indefinitely.

If you hold a professional designation (for example in engineering, accounting, human resources, or law), courses may be counted as professionally relevant, verifiable learning activities toward your continuing professional development. Individual practitioners are responsible for confirming that an activity meets the requirements of their professional body. For questions about the City of Markham's training and development policies, please speak with your people leader or Human Resources.

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Frequently Asked Questions

We are a registered provider with 327+ associations and regulatory bodies worldwide. We operate across 29 global markets including Canada, the US, Australia, and the UK. Every course page clearly displays its specific accreditations. Upon completion, you receive a professional certificate that can be validated online. Our certificates include all necessary accreditation details, credit hours, and completion dates, and are formatted specifically to meet the submission requirements of most global regulatory bodies.