District Compliance Meeting – District 2 – Del Mar California

Hilton Del Mar 15575 Jimmy Durante Blvd., Del Mar, CA, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 5, 2017 1:30 p.m. – 3:30 p.m. District Compliance Meeting … Continue reading District Compliance Meeting – District 2 – Del Mar California

FINRA District Compliance Meeting – District 9B Woodbridge

Hyatt Regency Morristown 3 Headquarters Plaza, Morristown, NJ, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 5, 2017 4 p.m. – 6 p.m. District Compliance Meeting … Continue reading FINRA District Compliance Meeting – District 9B Woodbridge

Small Firm CRCP Scholarship

FINRA is offering five scholarships to industry professionals from small firms to attend the FINRA Institute Certified Regulatory and Compliance ProfessionalTM (CRCPTM) program. The scholarship covers full tuition for the entire CRCP program, including room and board. FINRA is accepting applications through October 10, 2017. For more information, including eligibility requirements, the selection process and … Continue reading Small Firm CRCP Scholarship

District Compliance Meeting – District 3 – Tempe, Arizona

Tempe Mission Palms Hotel 60 East Fifth Street, Tempe, AZ, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 13, 2017 12 p.m. - 2 p.m. District Compliance Event … Continue reading District Compliance Meeting – District 3 – Tempe, Arizona

FINRA Rule 4530/Customer Complaint Filing Due Dates (Q3 2017)

In accordance with FINRA Rule 4530(d), each member shall report to FINRA statistical and summary information regarding customer complaints in such detail as FINRA shall specify by the 15th day of the month following the calendar quarter in which customer complaints are received by the member. For the purposes of this paragraph, "customer" includes any … Continue reading FINRA Rule 4530/Customer Complaint Filing Due Dates (Q3 2017)

National Society of Compliance Professionals – National Conference

Omni Shoreham 2500 Calvert Street NW, Washing, D.C., DC, United States

October 16 – 18, 2017 :: Washington, D.C. :: Omni Shoreham Hotel The NSCP National Conference  offers unique educational opportunities to further the professional growth of compliance professionals: Broker-Dealers :: Investment Advisers :: Investment Companies :: Municipal Advisors :: Private Funds The  NSCP conference offers workshops, labs, and forum discussions led by experienced industry veterans sharing … Continue reading National Society of Compliance Professionals – National Conference

FINRA Boot Camp – District 10 – New York

FINRA New York District Office Brookfield Place 200 Liberty Street, New York, United States

Designed for compliance and legal professionals, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 17, 2017 10:30 a.m. – 2:30 p.m. Half-Day Compliance Boot Camp FINRA District Office … Continue reading FINRA Boot Camp – District 10 – New York

FINRA AML Seminar – District 6 Dallas

FINRA Dallas District Office 12801 North Central Expressway, Suite 1050, Dallas, TX, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 19, 2017 9 a.m. – 2 p.m. AML Half-Day Seminar … Continue reading FINRA AML Seminar – District 6 Dallas

FINRA Boot Camp – District 10 Long Island – Jericho, New York

Two Jericho Plaza 2nd Floor, Wing A, Jericho, NY, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 19, 2017 9:30 a.m. – 1:30 p.m. Half-Day Compliance Boot … Continue reading FINRA Boot Camp – District 10 Long Island – Jericho, New York

Outside Brokerage Account Review (FINRA Rule 3270)

The firm should complete the review of the outside brokerage accounts of all associated persons for the prior month. http://finra.complinet.com/en/display/display_main.html?rbid=2403&element_id=3728

SIFMA’s Annual Meeting – The Capital Markets Conference

JW Marriot 1331 Pennsylvania Avenue NW, Washington, DC, United States

SIFMA's Annual Meeting returns to Washington, D.C. this fall for candid one-on-one conversations and in-depth breakout sessions on the state of our capital markets. Join SIFMA for expert insights and unparalleled networking with the foremost policymakers, regulators and financial market experts.  Registration information and details can be found here.

FINRA District Compliance Meeting – District 10 New York

Designed for compliance and legal professionals, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 24, 2017 9 a.m. – 10:30 a.m. District Compliance Meeting United Federation of Teachers … Continue reading FINRA District Compliance Meeting – District 10 New York

Quarterly FOCUS and SSOI Filing (Quarter ending 09/30/2017)

In accordance with SEC Rule 17a-5(a)(2)(iii), each broker/dealer registered pursuant to section 15 of the Act who does not carry nor clear transactions nor carry customer accounts shall file Part IIA of Form X-17 A-5 within 17 business days after the end of each calendar quarter. http://taft.law.uc.edu/CCL/34ActRls/rule17a-5.html  

FINRA District Compliance Meeting – District 11 Boston

Federal Reserve Bank of Boston 600 Atlantic Avenue, Boston, MA, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. October 25, 2017 9:30 a.m. – 12:30 p.m. District Compliance Meeting … Continue reading FINRA District Compliance Meeting – District 11 Boston

Outside Business Activities Review

FINRA Rule 3270 prohibits any registered person from being an employee, independent contractor, sole proprietor, officer, director or partner of another person, or being compensated, or having the reasonable expectation of compensation, from another person as a result of any business activity outside the scope of the relationship with the member firm unless he or … Continue reading Outside Business Activities Review

Disclosure of Order Routing Practices (SEC Rule 606) (Q3 2017)

SEC Rule 606 requires broker/dealers that route orders on behalf of customers to prepare quarterly reports that disclose the identity of the venues to which it routed orders for execution. The reports also will disclose the nature of the broker-dealers relationship with those venues, including the existence of any internalization or payment for order flow … Continue reading Disclosure of Order Routing Practices (SEC Rule 606) (Q3 2017)

Quarterly SSOI Supplemental FOCUS Information (Quarter ending 09/30/2017)

FINRA Rule 4524 requires each member firm to file a Supplemental Statement of Income (“SSOI”) within 20 business days after the end of each calendar quarter via the FINRA Gateway. The SSOI is designed to provide FINRA with greater detail regarding firm’s revenue and expenses. http://finra.complinet.com/en/display/display.html?rbid=2403&record_id=14475&element_id=10588&highlight=4524#r14475  

FINRA 2018 Renewal Program

Firms may begin submitting post-dated Form BDW and ADV-W filings via Web CRD/IARD. Registrations terminated by post-dated filings submitted by 11 p.m., Eastern Time (ET), November 10, 2017, do not appear on the firm’s Preliminary Statement. The only allowed date for post-dated filings is December 31, 2017.

C&L Society New York Regional Seminar

Marriott Marquis 901 Massachusetts Avenue NW, Washington, D.C., DC, United States

Join several hundred of your colleagues at the C&L Society Regional Seminar in New York City on November 2nd at the Marriott Marquis. This one day seminar will feature presentations by leading securities regulators and industry professionals. CLE credits will be offered.

Internal Auditors Society Annual Conference

The Westin Ft. Lauderdale 400 Corporate Drive, Ft. Lauderdale, FL, United States

The SIFMA Internal Auditors Society (IAS) Annual Conference will examine how the Internal Audit, Risk Management and Compliance roles are evolving and responding to change and uncertainty on a global level.

FINRA AML Seminar – District 7 – Boca Raton, Florida

FINRA Boca Raton District Office 5200 Town Center Circle Suite 200, Boca Raton, FL, United States

Designed for compliance and legal professionals at FINRA member firms, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. November 7, 2017 9 a.m. – 2 p.m. AML Half-Day Seminar FINRA Boca Raton District Office 5200 Town Center Circle, Suite 200 Boca … Continue reading FINRA AML Seminar – District 7 – Boca Raton, Florida

2017 FINRA Small Firm Conference

Fairmont Miramar Hotel & Bungalows 101 Wilshire Boulevard, Santa Monica, CA

The Small Firm Conference focuses on small firms’ practices and tips for complying with FINRA rules. Throughout the event, attendees have the opportunity to discuss small firm issues with FINRA senior staff. Location Fairmont Miramar Hotel & Bungalows, Santa Monica 101 Wilshire Boulevard Santa Monica, CA 90401 Tel: (866) 964-7262 Accomodations A room block has … Continue reading 2017 FINRA Small Firm Conference

FINRA 2018 Renewal Program – Preliminary Statement Filings

Firms may begin submitting post-dated Form BDW and ADV-W filings via Web CRD/IARD. Registrations terminated by post-dated filings submitted by 11 p.m., Eastern Time (ET), November 10, 2017, do not appear on the firm’s Preliminary Statement. The only allowed date for post-dated filings is December 31, 2017.

C&L Society Chicago Breakfast

Mesirow Financial 353 North Clark Street, Chicago, IL, United States

The SIFMA Compliance & Legal Society will host a breakfast in Chicago on November 10, 2017 at Mesirow Financial. For registration questions, please contact SIFMA Compliance & Legal Society.

SIFMA FMS Fundamental Training Securities Operations

SIFMA Conference Center New York City, NY, United States

The session will cover the life-cycle of a trade from booking through its accounting on books and records. The session will also cover control environments around securities operations and will be aimed at junior Operations and Finance members as a way to show how the trade life cycle relates to regulatory and financial reporting. Pillars … Continue reading SIFMA FMS Fundamental Training Securities Operations

FINRA Institute at Wharton CRCP Program

The Wharton School of the University of Pennsylvania. University of Pennsylvania, Philadelphia, PA, United States

The FINRA Institute at Wharton's Certified Regulatory and Compliance ProfessionalTM (CRCPTM) Program provides a comprehensive core of knowledge on securities regulation and the day-to-day application of those rules and regulations. The program comprises two week-long residential courses that are delivered at the Wharton School, University of Pennsylvania campus in Philadelphia. Participants benefit from instruction delivered … Continue reading FINRA Institute at Wharton CRCP Program

FINRA 2018 Preliminary Statements Available

Firms may begin submitting post-dated Form BDW and ADV-W filings via Web CRD/IARD. Registrations terminated by post-dated filings submitted by 11 p.m., Eastern Time (ET), November 10, 2017, do not appear on the firm’s Preliminary Statement. The only allowed date for post-dated filings is December 31, 2017. Preliminary Statements are available in E-Bill.  

FINRA AML Seminar – District 10 – New York

FINRA New York District Office Brookfield Place 200 Liberty Street, New York, United States

Designed for compliance and legal professionals, these events offer an opportunity to hear about current regulatory issues while engaging in a direct dialogue with FINRA District Office staff. For more information including discussion topics, see the individual program descriptions below. November, 13 2017 9 a.m. – 2 a.m. AML Half-Day Seminar FINRA New York District … Continue reading FINRA AML Seminar – District 10 – New York

Outside Brokerage Account Review (FINRA Rule 3270)

The firm should complete the review of the outside brokerage accounts of all associated persons for the prior month. http://finra.complinet.com/en/display/display_main.html?rbid=2403&element_id=3728

FINRA Holiday: Day before Thanksgiving Day Early close ( 3:00 p.m.)

FINRA operates Monday - Friday during regular business hours.  FINRA is closed whenever the markets are closed.  In addition, FINRA and financial markets may close early the day before a holiday.   http://www.finra.org/AboutFINRA/HolidaySchedule

Outside Business Activities Review

FINRA Rule 3270 prohibits any registered person from being an employee, independent contractor, sole proprietor, officer, director or partner of another person, or being compensated, or having the reasonable expectation of compensation, from another person as a result of any business activity outside the scope of the relationship with the member firm unless he or … Continue reading Outside Business Activities Review

FINRA Holiday: Day after Thanksgiving Day ( 1:00 p.m. early close)

FINRA operates Monday - Friday during regular business hours.  FINRA is closed whenever the markets are closed.  In addition, FINRA and financial markets may close early the day before a holiday.   http://www.finra.org/AboutFINRA/HolidaySchedule

Monthly & Fifth’ FOCUS IIA Filings (Month ending 10/31/2017)

In accordance with SEC Rule 17a-5(a)(2)(ii)-(iii), each broker/dealer registered pursuant to section 15 of the Act who clears transactions or carries customer accounts shall file Part II of Form X-17 A-5 within 17 business days after the end of the month. The fifth FOCUS filing is required for every broker or dealer who does not carry … Continue reading Monthly & Fifth’ FOCUS IIA Filings (Month ending 10/31/2017)

Net Capital Computation (Month ending 10/31/2017)

In accordance with SEC Rule 15c3-1, each broker/dealer registered pursuant to Section 15 of the Act must have evidence of the computation of net capital monthly. That computation should be completed and approved by the FINOP within 17 business days after the end of each month.

SEC Covered Securities Amendment to Rule 146

The Securities and Exchange Commission (‘‘SEC’’ or ‘‘Commission’’) is adopting an amendment to Rule 146 under Section 18 of the Securities Act of 1933, as amended (‘‘Securities Act’’), to designate certain securities listed, or authorized for listing, on Investors Exchange LLC (‘‘IEX’’ or ‘‘Exchange’’) as covered securities for purposes of Section 18(b) of the Securities … Continue reading SEC Covered Securities Amendment to Rule 146

Listed Options Symposium

SIFMA Conference Center New York City, NY, United States

SIFMA’s Listed Options Symposium brings together industry leaders, representing various roles across the market segment, for in-depth discussions on the state of the options market, and the challenges and opportunities facing investors and market participants. Participate in-person in New York City or via webcast.

Short Interest Reporting Due

FINRA requires firms to report short interest positions in all customer and proprietary accounts in all equity securities twice a month.

2017 South Region Compliance Seminar

Marriot Harbor Beach Resort & Spa 3030 Holiday Drive, Ft. Lauderdale, FL, United States

The South Region Compliance Seminar  is conducted to help firms and their associated persons better understand current industry and regulatory issues. Throughout the event, staff members from the Atlanta, Boca Raton, Dallas and New Orleans offices, as well as other FINRA senior staff, will be available to discuss matters of interest with you. Location Marriott Harbor … Continue reading 2017 South Region Compliance Seminar

Customer Margin Balance Due

FINRA Rule 4521 requires member firms that carry customer margin accounts to submit debit and credit balances and all securities margin accounts.

Outside Brokerage Account Review (FINRA Rule 3270)

The firm should complete the review of the outside brokerage accounts of all associated persons for the prior month. http://finra.complinet.com/en/display/display_main.html?rbid=2403&element_id=3728

Deadline for Comments on Regulatory Notice 17-33 – Code of Arbitration

FINRA seeks comments on emerging issues facing the industry, regulatory initiatives, rulemaking proposals, and other areas of regulatory interest. When respondents are no longer in business, recovery of arbitration awards against them often is unavailing. Accordingly, FINRA is proposing to amend the Code of Arbitration Procedure for Customer Disputes (Code) to expand a customer’s options … Continue reading Deadline for Comments on Regulatory Notice 17-33 – Code of Arbitration

Deadline for Comments on Regulatory Notice 17-34 – Arbitration Procedures

FINRA seeks comments on emerging issues facing the industry, regulatory initiatives, rulemaking proposals, and other areas of regulatory interest. The FINRA Codes of Arbitration and Mediation Procedure permit compensated non-attorneys to represent clients in securities arbitration and mediation subject to certain exceptions. FINRA is conducting a review of the efficacy of continuing to allow such … Continue reading Deadline for Comments on Regulatory Notice 17-34 – Arbitration Procedures

Short Interest Report Due

FINRA requires firms to report short interest positions in all customer and proprietary accounts in all equity securities twice a month.

Monthly & Fifth’ FOCUS IIA Filings (Month ending 11/30/2017)

In accordance with SEC Rule 17a-5(a)(2)(ii)-(iii), each broker/dealer registered pursuant to section 15 of the Act who clears transactions or carries customer accounts shall file Part II of Form X-17 A-5 within 17 business days after the end of the month. The fifth FOCUS filing is required for every broker or dealer who does not carry … Continue reading Monthly & Fifth’ FOCUS IIA Filings (Month ending 11/30/2017)

Net Capital Computation (Month ending 11/30/2017)

In accordance with SEC Rule 15c3-1, each broker/dealer registered pursuant to Section 15 of the Act must have evidence of the computation of net capital monthly. That computation should be completed and approved by the FINOP within 17 business days after the end of each month.

Outside Business Activities Review

FINRA Rule 3270 prohibits any registered person from being an employee, independent contractor, sole proprietor, officer, director or partner of another person, or being compensated, or having the reasonable expectation of compensation, from another person as a result of any business activity outside the scope of the relationship with the member firm unless he or … Continue reading Outside Business Activities Review

Review and update Firm Element Continuing Education Plan

FINRA Rule 1250 requires all covered registered persons (any person registered with a member who has direct contact with customers in the conduct of the member's securities sales, trading and investment banking activities, any person registered as an operations professional or research analyst, and to the immediate supervisors of such person) to participate in the … Continue reading Review and update Firm Element Continuing Education Plan

Quarterly GASB Accounting Support Fee

FINRA assesses an annual support fee to adequately fund the annual budget of the Governmental Accounting Standards Board (GASB”). The fee is assessed on a quarterly basis and is based on member firm’s municipal securities trading volume for the prior quarter. http://finra.complinet.com/en/display/display_viewall.html?rbid=2403&element_id=4693&record_id=6093

New Year’s Day – FINRA Holiday

FINRA operates Monday - Friday during regular business hours.  FINRA is closed whenever the markets are closed.  In addition, FINRA and financial markets may close early the day before a holiday.  http://www.finra.org/AboutFINRA/HolidaySchedule

SEC Approves Continuing Education Requirements for Municipal Advisors

The Municipal Securities Rulemaking Board (MSRB) received approval from the Securities and Exchange Commission (SEC) on May 16, 2017 to amend MSRB Rule G-3, on professional qualification requirements, and amend MSRB Rule G-8, on books and records to be made by brokers, dealers, and municipal securities dealers and municipal advisors, to establish continuing education requirements … Continue reading SEC Approves Continuing Education Requirements for Municipal Advisors

DOL’s Fiduciary Rule Transition Period Ends

Impartial Conduct Standards During the transition period, financial institutions and advisers must comply with the "impartial conduct standards" which are consumer protection standards that ensure that advisers adhere to fiduciary norms and basic standards of fair dealing. The standards specifically require advisers and financial institutions to: Give advice that is in the "best interest" of … Continue reading DOL’s Fiduciary Rule Transition Period Ends

Final Renewal Statement Availability January 02, 2018

Final Renewal Statements will be available online in Web CRD/IARD. If you have a renewal overpayment, it will be automatically transferred to your daily account in conjunction with year-end renewal processing. Refund requests are made from this account.

Short Interest Reporting Due Date

FINRA requires firms to report short interest positions in all customer and proprietary accounts in all equity securities twice a month.

FINRA Rule 4530/Customer Complaint Filing Due Dates (Q4 2017)

In accordance with FINRA Rule 4530(d), each member shall report to FINRA statistical and summary information regarding customer complaints in such detail as FINRA shall specify by the 15th day of the month following the calendar quarter in which customer complaints are received by the member. For the purposes of this paragraph, "customer" includes any … Continue reading FINRA Rule 4530/Customer Complaint Filing Due Dates (Q4 2017)

Quarterly FOCUS and SSOI Filing (Quarter ending 12/31/2017)

In accordance with SEC Rule 17a-5(a)(2)(iii), each broker/dealer registered pursuant to section 15 of the Act who does not carry nor clear transactions nor carry customer accounts shall file Part IIA of Form X-17 A-5 within 17 business days after the end of each calendar quarter. http://taft.law.uc.edu/CCL/34ActRls/rule17a-5.html

Net Capital Computation (Month ending 12/31/2017)

In accordance with SEC Rule 15c3-1, each broker/dealer registered pursuant to Section 15 of the Act must have evidence of the computation of net capital monthly. That computation should be completed and approved by the FINOP within 17 business days after the end of each month.

Annual FCS Reporting for 2018

FINRA broker/dealers must appoint and certify to FINRA one executive representative to represent, vote, and act on behalf of the broker/dealer in all affairs of FINRA. The executive representative must be a member of senior management and a registered principal of the firm. In addition, the executive representative is required to maintain an Internet electronic … Continue reading Annual FCS Reporting for 2018

Disclosure of Order Routing Practices (SEC Rule 606) (Q4 2017)

SEC Rule 606 requires broker/dealers that route orders on behalf of customers to prepare quarterly reports that disclose the identity of the venues to which it routed orders for execution. The reports also will disclose the nature of the broker-dealers relationship with those venues, including the existence of any internalization or payment for order flow … Continue reading Disclosure of Order Routing Practices (SEC Rule 606) (Q4 2017)

MSRB Update of Primary Contact Information (MSRB G-40)

MSRB Rule G-40 requires all municipal securities dealers and municipal advisors with an MSRB account to update their primary contact information or affirm that the information is correct within 17 business days after the end of each calendar year. In addition to this annual requirement, MSRB Rule G-40 requires municipal securities dealers and municipal advisors … Continue reading MSRB Update of Primary Contact Information (MSRB G-40)

Outside Business Activity Review (FINRA Rule 3270)

FINRA Rule 3270 prohibits any registered person from being an employee, independent contractor, sole proprietor, officer, director or partner of another person, or being compensated, or having the reasonable expectation of compensation, from another person as a result of any business activity outside the scope of the relationship with the member firm unless he or … Continue reading Outside Business Activity Review (FINRA Rule 3270)

SEC Approves Amendments to MSRB Rule G-26 on Customer Account Transfers

The Municipal Securities Rulemaking Board (MSRB) received approval from the Securities and Exchange Commission (SEC) on July 27, 2017, to amend MSRB G-26, on customer account transfers, to modernize the rule and promote a uniform customer account transfer standard for all brokers, dealers, municipal securities brokers and municipal securities dealers (collectively, "dealers"). The amendments will … Continue reading SEC Approves Amendments to MSRB Rule G-26 on Customer Account Transfers

Quarterly SSOI Supplemental FOCUS Information (Quarter ending 12/31/2017)

FINRA Rule 4524 requires each member firm to file a Supplemental Statement of Income (“SSOI”) within 20 business days after the end of each calendar quarter via the FINRA Gateway. The SSOI is designed to provide FINRA with greater detail regarding firm’s revenue and expenses. http://finra.complinet.com/en/display/display.html?rbid=2403&record_id=14475&element_id=10588&highlight=4524#r14475  

FINRA Cybersecurity Conference

Mark your calendar—FINRA's Cybersecurity Conference returns February 2018 for candid conversations and in-depth sessions on cybersecurity and strategies for mitigating risk. Join FINRA for expert insights and unparalleled networking with regulators, industry experts and peers.

SIFMA Social Media and Digital Marketing Seminar

Charles Schwab Conference Center 211 Main Street, San Francisco, CA, United States

SIFMA’s Social Media Seminar is the leading forum for Business, Marketing and Compliance professionals in Wealth Management to explore how to maximize the use of social media platforms while adhering to an ever-changing compliance framework. The 2018 program will feature discussions with the leading names in social media and experts in financial services. Panelists and … Continue reading SIFMA Social Media and Digital Marketing Seminar

Outside Business Activity Review (FINRA Rule 3270)

FINRA Rule 3270 prohibits any registered person from being an employee, independent contractor, sole proprietor, officer, director or partner of another person, or being compensated, or having the reasonable expectation of compensation, from another person as a result of any business activity outside the scope of the relationship with the member firm unless he or … Continue reading Outside Business Activity Review (FINRA Rule 3270)

Monthly & Fifth FOCUS IIA Filings (Month ending 01/31/2018)

In accordance with SEC Rule 17a-5(a)(2)(ii)-(iii), each broker/dealer registered pursuant to section 15 of the Act who clears transactions or carries customer accounts shall file Part II of Form X-17 A-5 within 17 business days after the end of the month. The fifth FOCUS filing is required for every broker or dealer who does not carry … Continue reading Monthly & Fifth FOCUS IIA Filings (Month ending 01/31/2018)

Net Capital Computation (Month ending 01/31/2018)

In accordance with SEC Rule 15c3-1, each broker/dealer registered pursuant to Section 15 of the Act must have evidence of the computation of net capital monthly. That computation should be completed and approved by the FINOP within 17 business days after the end of each month.

FINRA Foundation Seeks Applicants for Military Spouse Fellowship

The FINRA Investor Education Foundation Military Spouse Fellowship is accepting applications for its 2018 class of financial Fellows — a unique program designed to increase the financial capability of U.S. service members and their families. The national program offers military spouses the opportunity to earn a career-enhancing credential — the AFC® (Accredited Financial Counselor®) — … Continue reading FINRA Foundation Seeks Applicants for Military Spouse Fellowship

FINRA Board of Governors Reviews Goals

FINRA Board 1735 K Street NW, Washington DC, DC, United States

The FINRA Board of Governors will meet for the first time in 2018. In keeping with their usual practice for the first meeting of the year, the Board will review FINRA’s annual corporate goals. The Board will also receive an update on FINRA360, the organizational improvement initiative that kicked off last year. In addition, during … Continue reading FINRA Board of Governors Reviews Goals

FINRA Requests Comments: Rule 4521 ( Notifications, Questionnaires, and Reports)

Comments are due March 8, 2018, on FINRA proposed amendments to FINRA Rule 4521 (Notifications, Questionnaires and Reports) that would require specified member firms to notify FINRA no more than 48 hours after specified events that may signal an adverse change in liquidity risk. FINRA also seeks comment on a proposed new Supplemental Liquidity Schedule … Continue reading FINRA Requests Comments: Rule 4521 ( Notifications, Questionnaires, and Reports)

SEC Request for Comment: Code of Arbitration Procedures

The SEC published a proposed rule change to amend FINRA Rules 12600 and 12800 of the Code of Arbitration Procedure for Customer Disputes (''Customer Code'') and 13600 and 13800 of the Code of Arbitration Procedure for Industry Disputes ("Industry Code," and together with the Customer Code, the ''Codes''), to amend the hearing provisions to provide … Continue reading SEC Request for Comment: Code of Arbitration Procedures

2018 West Region Networking Seminar

Le Meridien Delfina Santa Monica 530 Pico Blvd., Santa Monica, California, United States

The FINRA West Region Networking Seminar is a half-day event designed to provide financial professionals associated with FINRA member firms in the West Region the opportunity to engage in key discussions with FINRA staff, and connect with industry leaders and peers. The seminar also includes thoughtful discussions around the future landscape of the financial services … Continue reading 2018 West Region Networking Seminar

SIFMA C&L Annual Seminar

JW 4040 Central Florida Parkway, Orlando, FL, United States

SIFMA’s C&L Annual Seminar is the premier event for compliance and legal professionals working in the financial services industry. Celebrating its 50th anniversary, the 2018 Annual Seminar provides a unique opportunity for industry leaders and regulators to gather for three-days of information sharing, collaboration and networking. Throughout the program, participants will hear from the industry’s … Continue reading SIFMA C&L Annual Seminar

Net Capital Computation (Month ending 02/28/2018)

In accordance with SEC Rule 15c3-1, each broker/dealer registered pursuant to Section 15 of the Act must have evidence of the computation of net capital monthly. That computation should be completed and approved by the FINOP within 17 business days after the end of each month.

SIFMA Operations and Technology Society: Corporate Actions Section DTCC Seminar

SIFMA Conference Center New York City, NY, United States

Join the Corporate Actions Section for our annual DTCC Seminar, covering the latest updates in operations, tax, product enhancements and more! All CAS Members are entitled to one complimentary event for 2018 at the SIFMA Conference Center. Interested in using this event as your comp? Email SIFMA Societies at sifma-societies@sifma.org to register.

Copyright© 2024 The LeGaye Law Firm P.C.