Overview

This course examines the responsibilities of those in leadership and governance roles under the SRA Code of Conduct for Firms. Through expert-led insight, role-specific pathways and real enforcement examples, learners explore how governance, supervision, systems and culture underpin regulatory compliance. The course addresses key risk areas including client money, competence, conflicts, complaints, reporting, outsourcing and cooperation with the SRA. It equips leaders, managers, COLPs and COFAs with practical guidance to identify risks early, respond appropriately, and embed a culture of accountability and transparency from the top down.

Learning Objectives

  • Recognise leadership and governance responsibilities under the SRA Code of Conduct for Firms
  • Identify how systems, supervision and culture contribute to firm-wide compliance or regulatory risk
  • Evaluate real-world enforcement case studies to illustrate how the SRA sanctions regulatory noncompliance
  • Distinguish the specific responsibilities of managers, COLPs and COFAs
  • Determine when issues must be escalated, recorded or reported to the SRA

Target Audience

This course is designed for partners, senior managers, non-lawyer leaders, COLPs and COFAs, and is suitable for induction into leadership roles or as a targeted compliance refresher.

This course has a minimum of 25 learner registrations for us to provide a quotation.

Request a Quotation
Language
UK
Date last updated
4/2/2026
Duration
40 Minutes
Suitable Devices
  • PC
  • Phone
  • Tablet
Audio is Required
  • Optional
Includes Video
  • Yes
Downloadable Resources
  • No
Completion Criteria
  • Pass final test
  • Visit all pages
Pass Mark
  • 80% pass mark required
Course Technology
  • HTML5
  • SCORM 1.2
Can be customised
  • Available at an Additional Cost
Accreditation or Endorsements
  • No
Languages
  • English
Image of a SkillStation dashboard

Let's get started

with a demo and a 30-day free trial.