Description
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 two-day course assists professionals in identifying the rules, regulations, regulatory and business trends and guidance applicable to their firms’ business model.
This course is presented in two 2.5-hour-long sessions. Registrants should attend both sessions in their entirety.
Course Objectives
By the end of the course, participants will be able to:
- Describe the SEC and SRO rules and regulations as they apply to Brokers Dealers (B/Ds)
- SEC-SRO Regulatory Pyramid
- Securities Exchange Act Requirements
- FINRA Requirements
- Broker-Dealer Self-Reporting Requirements
- Branch and Office of Supervisory Jurisdiction inspections
- Regulatory examinations and audits
- Discuss SEC and SRO oversight
- FINRA Supervisory Rules
- Firm Supervisory Requirements
- CEO Certification Process
- Internal Controls
- Overview in Trends in Compliance
- Role of Technology
- Sandboxes
- Disciplined Firms
- Develop an understanding of Compliance and Supervisory Processes and techniques:
- Three Lines of Defense
- Integrated/Sustainable Surveillance
- Role of internal audit
- Compliance versus supervision
- Exception Reports
- Compliance Techniques and Reviews
- Information barriers and conflicts of interest
- Three Lines of Defense
- FINRA Supervisory Rules
- SEC-SRO Regulatory Pyramid
Suggested Prerequisites: None
Program Level: Foundational
Target Audience: Anyone who wants to learn about broker/dealer compliance, such as staff from compliance, legal, operations, IT, middle office, or HR, and regulators who work closely with various aspects of the securities markets.
Advance Preparation: None
Computers and Financial Calculators: N/A
Recommended CPE Credits: 5.5
Duration: 2.5 Hours Total
Time: 2:00-4:30 p.m. ET
Price: $599/learner