
Institutional Investment Advisers
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Designated CCO
In diligently select cases, we designate one of our seasoned compliance officers to be named as your Chief Compliance Officer.
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SEC Registration
For new Advisers, we develop and file your Form ADV Parts 1, 2A and B.
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Policies and Procedures
We develop, maintain and update your compliance manual to be tailored for your advisory business, and reflect regulatory changes as they arise.
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Annual Testing and Remediation
We review and assess your policies and procedures as required by Rule 206(4)-7, including interviews and internal document review and testing. We then drive the remediation plan to ensure your compliance program is complete.
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Code of Ethics Administration
We utilize compliance-focused technology to manage all aspects of your Code of Ethics, including Personal Trading, Pre-Clearance Reviews, and Compliance Certifications.
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Onsite Compliance Training
Our experts develop and perform a firm-wide compliance training program tailored for you.
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Regulatory Reporting
We prepare and file all Annual and Quarterly filings.
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Cybersecurity
We assess your cybersecurity policies and governance framework to ensure best practices.
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Regulatory Exams
We support all aspects of regulatory exams conducted by the SEC, from preparing requested documents, engaging with the exam staff, and advise on any corrective actions.
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Electronic Communications Review
We provide support in the monitoring and review of all email, social media, and other electronic communications.
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Marketing Material Review
We review all marketing materials to ensure SEC compliance.
