COMPLIANCE CORNER

SEC announced it’s examination priorities for 2020!

And we are off to 2020, this past Tuesday the SEC’s Office of Compliance Inspections and Examinations (“OCIE”) announced it’s exam priorities for 2020. They do so to improve transparency and to help firms evaluate and improve their compliance programs. Click here to go directly to the SEC’s website, or read a few of the…

Strive to make your RIA Compliance “bulletproof” in 2020!

Happy New Year! In this article, I’ll outline the 2019 regulatory hot buttons to help your RIA be “bulletproof” in 2020 (no guarantee you’ll be bulletproof, but we can strive for the highest standard): The SEC and OCIE (Office of Compliance Inspections and Examinations) publish risk alerts reminding investment advisory firms of compliance risks and…

Regulation Best Interest Education – due date June 2020 (ADV Part 3 Form CRS)

As the well-known saying goes…  “it’s complicated” Last June, the SEC approved a set of rules relating to financial advice; with the goal of increasing transparency of retail investors’ relationships with both broker-dealers and investment advisors. The four-part package includes Regulation Best Interest or “Reg BI”, which sets a new standard of conduct for brokers;…

BREAKING THE CHAIN: NAVIGATING YOUR CHOICES AS A FINANCIAL ADVISER CONSIDERING A MOVE (avoid unintended disclosure, or breach of loyalty to your current firm)

Do you think about “breaking away” from your current firm? Are you considering starting your own Registered Investment Advisor (RIA) or joining an existing RIA? There are so many aspects to consider if you are an adviser looking to make a move: First, evaluate where you are (wirehouse, bank, regional firm, RIA) vs. your future…

SEC issues $124M in fines Sept. 2019

Cheers on a Tuesday (Friday is right around the corner… says the positive optimist in me, lol) The SEC issued some pretty hefty fines in September, click here for detailed press releases on the SEC website. Enforcemnt fines due to: Disclosure failures regarding mutual fund share class selection practices (17 Investment Advisors), Unregistered ICO and…

FINRA Released 2019 Report of Exam Findings

To download the full report, click here to go to FINRA’s website. Being aware of these areas will help your firm stay in compliance and out of trouble with FINRA! Here’s an snippet of the problem areas; however, there are many more and a detailed explanation in the full FINRA report: Insufficient WSPs (Written Supervisory…

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