- The current and upcoming regulatory pressures facing APAC financial services.
- How to operationalise resilience and compliance through smart automation and integrated solutions.
- Practical frameworks for managing CPS 230, ESG reporting, and AI governance at scale
- How proactive compliance strategies can serve as a business differentiator.
- What other industries can learn from financial services as it adapts to stricter oversight, integrated risk and rising compliance demands.

In a climate of unrelenting regulatory pressures, financial services across APAC must address AI governance, ESG reporting, and CPS 230 compliance. Waiting is not an option—organisations must act now to build compliance and resilience strategies that not only mitigate risk, but also unlock strategic advantage.
Join experts Shaun Mahon, Riskonnect Inc, Kieran Seed, LexisNexis Regulatory Compliance, and Simon Levy, RMIA for a timely and practical discussion on the future of risk and compliance. This three-part webinar will cover:
- The State of Regulatory Change in APAC: Including the impact of the EU AI Act, ESG reporting mandates, and CPS 230 and CPS 234.
- Elevating Compliance as a Strategic Function: Gain a fresh perspective on compliance as a proactive business enabler. Learn how global regulatory intelligence can be leveraged to improve audit readiness, reduce exposure, and align with frameworks like ISO 27001 and NIST.
- Organisational Resilience through Automation: Explore how automation is transforming business continuity and operational resilience. Get insights into how CPS 230, ESG, and AI governance combine to deliver strategic value.

Shaun Mahon
Director, GRC Products, Riskonnect
Shaun Mahon is the Director, GRC Products at Riskonnect, where he leads the development and delivery of solutions across governance, risk, compliance, strategy, and performance. With over six years at Riskonnect and a background in enterprise risk management and project implementation, Shaun has successfully delivered software solutions for a wide range of organisations and industries across the globe, including large government departments, ASX-listed companies, and SMEs. Shaun holds a Bachelor of Commerce in Human Resource Management and Commercial Law from Victoria University of Wellington.

Simon Levy
Chief executive Officer, RMIA
Simon has 20 years of experience as a risk professional and has collaborated closely with senior executives for globally recognised brands and organisations contributing to strategic intent by ensuring accountability for effective risk mitigation.

Kieran Seed
Head of Content – Global, LexisNexis Regulatory Compliance
Kieran Seed is the Head of Content – Global at LexisNexis Regulatory Compliance, supervising and coordinating the development of complex compliance data sets locally and internationally. Kieran’s expertise lies at the nexus of compliance, law and content, to help organisations understand and monitor their compliance requirements in an accelerating and ever-changing regulatory landscape. Kieran’s team of subject matter experts manage a wide content set across Australia, New Zealand and Southeast Asia, and also collaborate closely with content teams across the globe to bring the Regulatory Compliance solution to new markets and jurisdictions.