Here’s Why to Go With an Outsourced Compliance Pro

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When it comes to the potential liabilities associated with compliance failures, the numbers don’t lie. Consider a recent arbitration award case involving a small, independent broker-dealer on the East Coast. Regulators slapped the firm with a $3 million fine, holding it, its CEO and its chief compliance officer jointly and severally liable — which means if the broker-dealer is…

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For A Flat Fee, This Florida Firm Will Inspect Broker-Dealer Branch Offices

People analyzing financial charts and data on a tablet and papers.

A new firm in Florida wants to tackle a common problem that independent B-Ds have supervising and inspecting their far-flung branch offices, otherwise known as offices of supervisory jurisdiction, or OSJs. With the SEC’s new Regulation Best Interest looming, there are concerns in some quarters about OSJs’ ability to comply with the new rules. Sander…

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