Monthly Regulatory Summary (March 2024)
Compliance Risk Concepts Blog
by CRC
1w ago
As the regulatory landscape is constantly evolving, Compliance Risk Concepts (“CRC”) is issuing its monthly review and summary of various FINRA, SEC, NFA, and FinCEN publications to assist our clients in keeping abreast of notable regulatory developments and deadlines in an effort to strengthen their compliance and regulatory initiatives. FINRA Regulatory Notices Per Regulatory Notice 24-06, FINRA has adopted amendments to disseminate individual transactions in active U.S. Treasury securities at the end of the day and historically, and to set related fees for members and other professionals w ..read more
Visit website
Regulatory News Update: SEC Charges Investment Advisers with Advisers Act Violations for AI Statements
Compliance Risk Concepts Blog
by CRC
3w ago
What: The SEC announced that it settled charges against two investment advisers for making false and misleading statements about their purported use of artificial intelligence (AI). The firms agreed to settle the SEC’s charges and pay $400,000 in total civil penalties. Who: Delphia (USA) Inc. and Global Predictions Inc. When: March 18, 2024 Why: The SEC’s concerns stem from firms selling AI solutions that they cannot deliver on or where the use or benefits of AI are overstated as part of an investment advisory service. Gary Gensler notes “[w]e’ve seen time and again that when new technologies ..read more
Visit website
Regulatory News Update: Deadline Approaching for Certain Proprietary Trading Broker-Dealers to Join FINRA via the Short-Form Membership Application Process
Compliance Risk Concepts Blog
by CRC
1M ago
As detailed more fully in Regulatory Notice 23-19, FINRA has adopted a short-form membership application process for certain firms that must become FINRA members due to the recent amendments to Rule 15b9-1 of the Securities Exchange Act of 1934. The amendments to Rule 15b9-1 eliminated the de minimis allowance and proprietary trading exclusion. Rescinding these provisions generally eliminated (subject to the exemptions in the amended rule) the ability for proprietary trading dealer firms to rely on Rule 15b9-1 to effect off-member-exchange securities transactions without joining FINRA. This s ..read more
Visit website
Monthly Regulatory Summary (January 2024)
Compliance Risk Concepts Blog
by CRC
1M ago
As the regulatory landscape is constantly evolving, Compliance Risk Concepts (“CRC”) is issuing its monthly review and summary of various FINRA, SEC, NFA, and FinCEN publications to assist our clients in keeping abreast of notable regulatory developments and deadlines in an effort to strengthen their compliance and regulatory initiatives. FINRA Regulatory Notices Per Regulatory Notice 24-01, FINRA’s Renewal Program supports the collection and disbursement of fees related to the renewal of broker-dealer (BD) and investment adviser (IA) registrations, exempt reporting and notice filings with pa ..read more
Visit website
Regulatory News Update: FinCEN Notice of Proposed Rulemaking for Registered Investment Advisers and Exempt Reporting Advisers
Compliance Risk Concepts Blog
by CRC
2M ago
What: The proposed rule would require some investment advisers to apply certain anti-money-laundering and countering the financing of terrorism (AML/CFT) requirements pursuant to the Bank Secrecy Act (BSA). Who: SEC-registered investment advisers and investment advisers that report to the SEC as exempt reporting advisers (ERAs) would be included in the definition of “financial institution” under the BSA. When: Proposed rule announced on February 13, 2024 (Federal Register publish date expected February 15, 2024). The comment period for the proposed rule is open until April 15, 2024. Why: A ris ..read more
Visit website
Protected: 10-Year Anniversary Letter From Mitch Avnet
Compliance Risk Concepts Blog
by CRC
2M ago
This content is password protected. To view it please enter your password below: Password: The post Protected: 10-Year Anniversary Letter From Mitch Avnet appeared first on Compliance Risk Concepts ..read more
Visit website
Compliance Risk Concepts Receives Strategic Investment from MidOcean Partners
Compliance Risk Concepts Blog
by CRC
2M ago
NEW YORK--(BUSINESS WIRE)--Compliance Risk Concepts (“CRC”), through its parent company, Re-Sourcing Group, has received a significant investment from MidOcean Partners to advance its position as a valued compliance partner to the financial services industry. This investment will support the continued growth of CRC’s unique brand of business-focused compliance and risk management advisory services. The compliance and risk management industry has evolved in recent years, amid new regulations, rule modifications and heightened government oversight. These changes come amid consolidatio ..read more
Visit website
Compliance Highlight: FINRA Issues 2024 Regulatory Oversight Report
Compliance Risk Concepts Blog
by CRC
3M ago
Today FINRA issued its latest iterative report on its examination and risk monitoring program. This article focuses on the new topics and material introduced this year, specifically selected examination findings. It also covers topics that FINRA noted in the report as “Emerging Risks,” which represent potentially concerning practices that may pose new or additional risk. Lastly, several targeted exam or sweep updates are referenced from the report. New Topics for 2024 – Selected Examination, Surveillance, Investigation, or Enforcement Findings Crypto Asset Developments Failing to appropriat ..read more
Visit website
Monthly Regulatory Summary (December 2023)
Compliance Risk Concepts Blog
by CRC
3M ago
As the regulatory landscape is constantly evolving, Compliance Risk Concepts (“CRC”) is issuing its monthly review and summary of FINRA, SEC, and NFA notices and bulletins to assist our clients in keeping abreast of notable regulatory developments and deadlines in an effort to strengthen their compliance and regulatory initiatives. FINRA Regulatory Notices Per Regulatory Notice 23-20, FINRA discusses the guidance and other resources available to assist members with their compliance efforts in connection with the SEC’s Regulation Best Interest (Reg BI). In particular, FINRA highlights the SEC ..read more
Visit website
Regulatory News Update: SEC Adopts New Rule Enhancing Short Sale Disclosure
Compliance Risk Concepts Blog
by Amir Lahoud
3M ago
What: The SEC recently adopted new Rule 13f-2 and related Form SHO and an amendment to the national market system plan governing the consolidated audit trail (CAT) to provide greater transparency of short sale-related data. Who: Institutional investment managers (“Managers”). Managers are any person, other than a natural person, investing in or buying and selling securities for its own account, and any person exercising investment discretion with respect to the account of any other person - typically includes brokers and dealers, investment advisers, banks, insurance companies, pension funds ..read more
Visit website

Follow Compliance Risk Concepts Blog on FeedSpot

Continue with Google
Continue with Apple
OR