US Compliance SolutionsPost Enforcement Action and Remediation
Post Enforcement Action and Remediation
Regulators in the US often require sanctioned advisory firms to address and resolve identified deficiencies with the help of qualified professionals. Regulators such as the SEC may identify deficiencies that advisory firms are expected to remediate, with serious consequences for advisers that do not remediate any identified issues.
We provide comprehensive remediation support services that include working closely with your advisory business to update policies and procedures relating to SEC, FINRA, CFTC and NFA actions.
- we provide comprehensive remediation support services that include working closely with your advisory business to update policies and procedures relating to SEC, FINRA, CFTC and NFA actions
- we work closely with your investment advisory professionals to conduct extensive risk analysis, policy remediation and training as necessary
- our team can assist you with ongoing examinations by regulators that include confidentiality requests, mock interviews, organizing production of all document requests, drafting response letters to deficiencies identified and liaising with your regulator.