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Global Financial Markets Institute»Broker/Dealer Compliance

Broker/Dealer Compliance

Trying to maneuver through the plethora of Broker/Dealer Compliance requirements can be overwhelming and at times frustrating. No one enjoys spinning their wheels while reporting deadlines loom. This one-day course assists professionals in identifying the rules, regulations and guidance applicable to their firms’ business model.

Course Objectives

By the end of the course, participants will be able to:

  • Describe the features and characteristics regarding the SEC laws and regulations plus FINRA rules and guidance as they apply to Brokers Dealers (B/Ds)
  • Identify the regulatory landscape for evolving business models
  • Discuss SEC and SRO oversight
  • Describe Operational, Sales Practice, Capital and Books & Records Requirements
    • Suitability
    • Know Your Customer
    • Protection of Seniors
    • Fiduciary Duty
    • Privacy
  • Develop an understanding regarding the impact to business units (operations) considering Compliance and Supervisory requirements:
    • Culture of compliance
    • Understand the importance of preparing for regulatory examinations
    • Information barriers and conflicts of interest
    • Branch and OSJ inspections
    • Role and structure of compliance
    • Role of internal audit
    • Compliance versus supervision
    • Regulatory examinations and audits
    • ERISA and new Fiduciary Rule
    • AML
    • Cyber-security

Suggested Prerequisites: None

Program Level: Foundational

Advance Preparation: None

Computers and Financial Calculators: N/A

Recommended CPE Credits: 7

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    • Fixed Income
  • Foreign Exchange
  • Insurance
  • Municipals
  • Mutual Funds and ETFs
  • Operations
  • Portfolio Management
  • Quantitative Methods and Excel
  • Regulation and Compliance
  • Risk Management
  • Securities Lending — Repurchase Agreements
  • Securitization Course – Structured Finance
  • Structured Products
  • Wealth Management
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  • About Us
    ▼
    • Our Story
    • Our Team
    • Our Clients
    • Strategic Alliance
    • Our Associations
  • Services
    ▼
    • Training Needs Analysis
    • Custom Built Training
    • Subject Matter Experts
  • Training Courses
    ▼
    • Alternative Investments
    • Asset Liability Management
    • Capital Markets
    • Commodities
    • Corporate Finance Course
    • Credit and Credit Analysis Course
    • Credit Derivatives
    • Derivatives
    • Digital Assets
    • Economics
    • Equities
    • Financial Statement Analysis Accounting
    • Fixed Income Courses
    • Foreign Exchange
    • Insurance
    • Municipals
    • Mutual Funds and ETFs
    • Operations
    • Portfolio Management
    • Quantitative Methods and Excel
    • Regulation and Compliance
    • Risk Management
    • Securities Lending — Repurchase Agreements
    • Securitization and Structured Finance
    • Structured Products
    • Wealth Management
  • Training Methods
    ▼
    • Classroom Training
    • Virtual Instructor-Led Training (VILT)
    • Online Learning — eLearning
    • Financial Simulation
    • Blended Learning
  • Insights
    ▼
    • eNews
    • Articles
    • Glossary
    • Blog
    • Case Studies
  • Contact us
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