FINRA Announces Updates of the Interpretations of Financial and Operational Rules

Regulatory Notice 14-25 FINRA Announces Updates of the Interpretations of Financial and Operational Rules Executive Summary FINRA is updating the imbedded text of Securities Exchange Act (SEA) reporting rules for broker-dealers in the Interpretations of Financial and Operational Rules to reflect the effectiveness of amendments the SEC adopted. The updated imbedded text relates to SEA … Continue reading FINRA Announces Updates of the Interpretations of Financial and Operational Rules

SIFMA Statement on SEC Approval of Cross-Border Swaps Rules

Release Date: June 25, 2014 Contact: Carol Danko, 202.962.7390, cdanko@sifma.org SIFMA Statement on SEC Approval of Cross-Border Swaps Rules Washington, D.C., June 25, 2014 - SIFMA today released the following statement from Kenneth E. Bentsen, Jr., SIFMA president and CEO following the Securities and Exchange Commission's unanimous decision to adopt cross-border security-based swaps rules and … Continue reading SIFMA Statement on SEC Approval of Cross-Border Swaps Rules

SEC Adopts Cross-Border Security-Based Swap Rules

Washington D.C., June 25, 2014 — The Securities and Exchange Commission today adopted the first of a series of rules and guidance on cross-border security-based swap activities for market participants.  The new rules will be key to finalizing the remaining proposals. The rules and guidance explain when a cross-border transaction must be counted toward the … Continue reading SEC Adopts Cross-Border Security-Based Swap Rules

New Payments for Market Making Certification Requirement for FINRA Form 211

Regulatory Notice 14-26 New Payments for Market Making Certification Requirement for FINRA Form 211 Effective Date: July 7, 2014 Executive Summary FINRA is issuing this Regulatory Notice to remind firms and associated persons of the FINRA Rule 5250 (Payments for Market Making) prohibition on accepting payments for market making, which includes payments for filing a … Continue reading New Payments for Market Making Certification Requirement for FINRA Form 211

SEC Approves Amendments to FINRA Rule 2210

Regulatory Notice 14-30 SEC Approves Amendments to FINRA Rule 2210 to Exclude Research Reports on Exchange-Listed Securities From Filing Requirements and Clarify the Standards Applicable to Free Writing Prospectuses Effective Date: July 11, 2014 Executive Summary The SEC has approved amendments to FINRA Rule 2210 (Communications with the Public) that: (i) exclude from Rule 2210’s … Continue reading SEC Approves Amendments to FINRA Rule 2210

SIFMA Statement on ‘Cybersecurity Information Sharing Act’

Washington, DC, July 11, 2014 - SIFMA today issued the following statement from Kenneth E. Bentsen, Jr., SIFMA president and CEO, on the "Cybersecurity Information Sharing Act of 2014" (S. 2588), which was passed by the Senate Intelligence Committee earlier this week: "We applaud Chairman Feinstein and Vice Chairman Chambliss for their leadership on this critical … Continue reading SIFMA Statement on ‘Cybersecurity Information Sharing Act’

SIFMA Publishes Recommendations for Enhancing Fairness, Stability and Transparency in US Equity Markets

Release Date: July 14, 2014 Contact: Liz Pierce, 212.313.1173, lpierce@sifma.org SIFMA Publishes Recommendations for Enhancing Fairness, Stability and Transparency in US Equity Markets New York, NY, July 14, 2014– SIFMA today published a set of recommendations on equity market structure for enhancing fairness, stability and transparency in the U.S. stock market. Innovation, regulation and competition … Continue reading SIFMA Publishes Recommendations for Enhancing Fairness, Stability and Transparency in US Equity Markets

Financial Industry: Cybersecurity is a Top Priority for Protecting Customers

Release Date: July 16, 2014 Contact: Alison Hawkins (FSR), 202.589.2427, Alison.Hawkins@FSRoundtable.org Liz Pierce (SIFMA), 212.313.1173, lpierce@sifma.org Laena Fallon (FSF), 202.457.8765, laena.fallon@financialservicesforum.org Sean Oblack (TCH), 202.649.4629, sean.oblack@theclearinghouse.org John Hall (ABA), 202.663.5473, jhall@aba.com Financial Industry: Cybersecurity is a Top Priority for Protecting Customers Washington, D.C.- Responding to remarks today by Treasury Secretary Jack Lew regarding cybersecurity and the financial … Continue reading Financial Industry: Cybersecurity is a Top Priority for Protecting Customers

FINRA Announces Arbitration Task Force

WASHINGTON — The Financial Industry Regulatory Authority (FINRA) announced today the formation of a 13-member Arbitration Task Force to consider possible enhancements to its arbitration forum to improve the transparency, impartiality and efficiency of FINRA's securities arbitration forum for all participants. "FINRA's mission is to protect investors and support their confidence in the capital markets," … Continue reading FINRA Announces Arbitration Task Force

MSRB Files Rule Change with SEC for Continuing Education Requirements for Municipal Securities Dealers

Today, the MSRB filed a rule change with the Securities and Exchange Commission to require that dealers provide Firm Element continuing education annually on municipal securities for registered representatives and principals who regularly engage in or supervise, respectively, municipal securities activities. While the MSRB has intended, from the inception of MSRB Rule G-3, that dealers … Continue reading MSRB Files Rule Change with SEC for Continuing Education Requirements for Municipal Securities Dealers

SEC Approves FINRA Rule to Prohibit Conditioning Settlements on Expungements

WASHINGTON — The Financial Industry Regulatory Authority (FINRA) today announced that the Securities and Exchange Commission (SEC) has approved a new rule prohibiting firms and registered representatives from conditioning settlement of a customer dispute on—or otherwise compensating a customer for—the customer's agreement to consent to, or not to oppose, the firm's or representative's request to … Continue reading SEC Approves FINRA Rule to Prohibit Conditioning Settlements on Expungements

MSRB Releases Revised Draft Rule G-42 and Board Meeting Discussion Items

The Municipal Securities Rulemaking Board (MSRB) today released for public comment a revised draft rule to establish the core duties of municipal advisors when providing advice on municipal securities transactions and related products. The revised draft MSRB Rule G-42 addresses a number of issues raised by commenters on the initial draft rule published in January … Continue reading MSRB Releases Revised Draft Rule G-42 and Board Meeting Discussion Items

Net Capital Computation (Month ending 06/30/2014)

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.

MSRB Seeks Approval to Implement Supervision Rule for Municipal Advisors

Date: July 24, 2014 Contact: Jennifer A. Galloway, Chief Communications Officer (703) 797-6600 jgalloway@msrb.org MSRB SEEKS APPROVAL TO IMPLEMENT SUPERVISION RULE FOR MUNICIPAL ADVISORS   Alexandria, VA – In a major milestone in its development of a federal regulatory framework for municipal advisors, the Municipal Securities Rulemaking Board (MSRB) today sought approval from the Securities and … Continue reading MSRB Seeks Approval to Implement Supervision Rule for Municipal Advisors

Outside Business Activity Review (NASD Rule 3050)

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 (NASD Rule 3050)

MSRB to Make Kroll Bond Ratings Available to the Public through its EMMA Website

Date: July 25, 2014 Contact: Jennifer A. Galloway, Chief Communications Officer (703) 797-6600 jgalloway@msrb.org MSRB TO MAKE KROLL BOND RATINGS AVAILABLE TO THE PUBLIC THROUGH ITS EMMA WEBSITE   Alexandria, VA – The Municipal Securities Rulemaking Board (MSRB) announced today that it plans to provide free public access on its Electronic Municipal Market Access (EMMA®) website  to … Continue reading MSRB to Make Kroll Bond Ratings Available to the Public through its EMMA Website

SIFMA Submits Comments to the Securities and Exchange Commission on FINRA’s Arbitrator Definition

SIFMA Submits Comments to the Securities and Exchange Commission on FINRA's Arbitrator Definition: SIFMA supported the proposal, claiming, “the dual components of the Proposal thus collectively ensure a balanced approach to arbitrator classifications, and fair treatment of all parties to FINRA arbitration. For these same reasons, the Proposal should also help address and improve perceptions … Continue reading SIFMA Submits Comments to the Securities and Exchange Commission on FINRA’s Arbitrator Definition

MSRB Creates Online Education Center to House Digital Resources about the Municipal Market

Alexandria, VA – To facilitate access by municipal securities investors, state and local governments and others interested in the municipal market to free, objective educational resources, the Municipal Securities Rulemaking Board (MSRB) today unveiled an online education center on its website at msrb.org. The new MSRB Education Center consolidates videos, fact sheets and a significant library … Continue reading MSRB Creates Online Education Center to House Digital Resources about the Municipal Market

SEC Approves Amendments to Codes of Arbitration Procedure to Require Redaction of Personal Confidential Information from Documents Filed With FINRA Dispute Resolution

Regulatory Notice 14-27 SEC Approves Amendments to Codes of Arbitration Procedure to Require Redaction of Personal Confidential Information from Documents Filed With FINRA Dispute Resolution Effective Date: July 28, 2014 Executive Summary The SEC approved amendments to the Customer and Industry Codes of Arbitration Procedure to provide that any document that a party files with … Continue reading SEC Approves Amendments to Codes of Arbitration Procedure to Require Redaction of Personal Confidential Information from Documents Filed With FINRA Dispute Resolution

MSRB – Education and Outreach Seminar in Chicago, IL

MSRB Education and Outreach Seminar Tuesday, July 29, 2014, 2:00 p.m. – 5:00 p.m. CT Conrad Hotel, 521 North Rush Street Chicago, IL 60611 The MSRB will host a public education and outreach seminar for municipal market professionals to discuss municipal market structure issues and development of new regulations for professionals that provide financial advice … Continue reading MSRB – Education and Outreach Seminar in Chicago, IL

SEC Approves FINRA Rule 2081 Regarding Prohibited Conditions Relating to Expungement of Customer Dispute Information

Regulatory Notice 14-31 SEC Approves FINRA Rule 2081 Regarding Prohibited Conditions Relating to Expungement of Customer Dispute Information Effective Date: July 30, 2014 Executive Summary The SEC has approved FINRA Rule 2081 (Prohibited Conditions Relating to Expungement of Customer Dispute Information) to prohibit member firms and associated persons from conditioning or seeking to condition settlement … Continue reading SEC Approves FINRA Rule 2081 Regarding Prohibited Conditions Relating to Expungement of Customer Dispute Information

SIFMA Announces Cybersecurity Resources for Small Firms

SIFMA Announces Cybersecurity Resources for Small Firms: Cyber attacks, a real threat to our economic and national security, do not discriminate based on firm size: cybersecurity firm Symantec reports that in 2012, 31% of all cyber attacks targeted businesses with fewer than 250 employees, up from 18% in 2011. Every market participant bears the responsibility … Continue reading SIFMA Announces Cybersecurity Resources for Small Firms

SIFMA and Other Associations Submit Comments to the Securities and Exchange Commission on Structure of MCDC

6SIFMA and Other Associations Submit Comments to the Securities and Exchange Commission on Structure of MCDC: SIFMA suggested adjusting MCDC’s 5‐10 year look‐back period to determine whether or not issuers have made materially inaccurate statements in offering documents regarding prior continuing disclosure compliance, as well as extending the end date of MCDC from September 9, … Continue reading SIFMA and Other Associations Submit Comments to the Securities and Exchange Commission on Structure of MCDC

FINRA Announces Nomination Process to Fill Upcoming Vacancies on the National Adjudicatory Council

Election Notice 8/1/14 FINRA Announces Nomination Process to Fill Upcoming Vacancies on the National Adjudicatory Council Petitions for Candidacy Due: September 15, 2014 Executive Summary The purpose of this Election Notice is to announce the nomination process to fill two vacancies on the National Adjudicatory Council (NAC) to be filled by one Large Firm NAC … Continue reading FINRA Announces Nomination Process to Fill Upcoming Vacancies on the National Adjudicatory Council

FINRA Proposed Rule Change Relating to Revisions to the Definitions of Non-Public Arbitrator and Public Arbitrator

SR-FINRA-2014-028 Proposed Rule Change Relating to Revisions to the Definitions of Non-Public Arbitrator and Public Arbitrator Financial Industry Regulatory Authority, Inc. ("FINRA") is filing with the Securities and Exchange Commission ("SEC" or "Commission") a proposed rule change to amend the Code of Arbitration Procedure for Customer Disputes ("Customer Code") and the Code of Arbitration Procedure … Continue reading FINRA Proposed Rule Change Relating to Revisions to the Definitions of Non-Public Arbitrator and Public Arbitrator

FINRA Proposed Rule Change to Amend the Codes of Arbitration Procedures

SR-FINRA-2014-026 Proposed Rule Change to Amend the Codes of Arbitration Procedure to Increase Arbitrator Honoraria by Increasing Arbitration Filing Fees, Member Surcharges and Process Fees and Hearing Session Fees Financial Industry Regulatory Authority, Inc. ("FINRA") is filing with the Securities and Exchange Commission ("SEC" or "Commission") a proposed rule change to amend the Code of … Continue reading FINRA Proposed Rule Change to Amend the Codes of Arbitration Procedures

SIFMA Compliance and Legal Society San Francisco Regional Seminar

C & L Regional Seminar:  August 6, 2014 -  Charles Schwab Convention Center - San Francisco We cordially invite you to attend the SIFMA Compliance & Legal Society San Francisco Regional Seminar to be held at Charles Schwab on Wednesday, August 6th, 2014. This one day seminar will feature presentations by leading securities regulators and … Continue reading SIFMA Compliance and Legal Society San Francisco Regional Seminar

MSRB Announces New Officers and Board Membersfor Fiscal 2015

Alexandria, VA – The Municipal Securities Rulemaking Board (MSRB) today announced new officers and Board of Directors members who will begin their terms on October 1, 2014. The Board makes policy decisions, authorizes rulemaking and oversees the MSRB’s operations. Kym Arnone, Managing Director at Barclays, will serve as Chair of the MSRB for Fiscal Year … Continue reading MSRB Announces New Officers and Board Membersfor Fiscal 2015

MSRB Filing Rule Change to Rule G-3 on Professional Qualification Requirements

The Municipal Securities Rulemaking Board’s (MSRB) request for approval from the Securities and Exchange Commission (SEC) of a proposal to amend MSRB Rule G-3 has been published in the Federal Register. Proposed changes to Rule G–3 would require brokers, dealers and municipal securities dealers to conduct annual municipal securities training for registered representatives who regularly … Continue reading MSRB Filing Rule Change to Rule G-3 on Professional Qualification Requirements

MSRB Request for Approval from SEC of proposed Rule G-44 has been published in the Federal Register

The Municipal Securities Rulemaking Board’s (MSRB) request for approval from the Securities and Exchange Commission (SEC) of proposed MSRB Rule G-44, on supervision and compliance obligations of municipal advisors, and related amendments to MSRB Rules G-8 and G-9 has been published in the Federal Register. Read the notice of publication in the Federal Register. Read … Continue reading MSRB Request for Approval from SEC of proposed Rule G-44 has been published in the Federal Register

FINRA Regional Compliance Meeting for the Northeast

Regional Compliance Events Midwest Des Moines, IA: Compliance Meeting: August 26 North Stamford, CT: Half-Day Compliance Boot Camp: August 7 Woodbridge, NJ: Half-Day Compliance Boot Camp: August 14 South Dallas, TX: Half-Day Compliance Boot Camp: August 11 Boca Raton, FL: Half-Day Compliance Boot Camp: August 14

FINRA – Retrospective Rule Review Surveys

In April, FINRA initiated a retrospective rule review by issuing two Regulatory Notices (14-14 and 14-15) requesting comment on the effectiveness and efficiency of FINRA's communications with the public rules, and the gifts, gratuities and non-cash compensation rules. In addition to the feedback we received during the comment process and through subsequent interviews with subject … Continue reading FINRA – Retrospective Rule Review Surveys

2Q 2014 TRACE Fact Book Now Available

The second-quarter data tables for the TRACE Fact Book are now available. The tables include aggregated information for securitized products as well as corporate and agency debt securities, including trades reported, the top 50 issues by trades and by par value, the average daily par value traded, customer buy vs. customer sell ratios and more.

FINRA and the Wharton School offer CRCP Program

FINRA and the Wharton School offer the Certified Regulatory and Compliance Professional (CRCP) Program—an executive education experience that covers the theory and practical application of securities laws and regulation through intensive instruction, discussion and case studies. The program is comprised of two weeklong residential courses at the Wharton campus in Philadelphia. Week I – August … Continue reading FINRA and the Wharton School offer CRCP Program

FINRA Amends FINRA Rule 9120 and the Definition of “Hearing Officer”

Regulatory Notice 14-32 FINRA Amends FINRA Rule 9120 and the Definition of “Hearing Officer” Implementation Date: August 12, 2014 Executive Summary FINRA has amended the definition of “Hearing Officer” to include a former FINRA employee who previously acted as a Hearing Officer and who is a licensed attorney. Based on the amended definition, the Chief Hearing … Continue reading FINRA Amends FINRA Rule 9120 and the Definition of “Hearing Officer”

FINRA Regional Compliance Meeting for the Northeast

Regional Compliance Events Midwest Des Moines, IA: Compliance Meeting: August 26 North Stamford, CT: Half-Day Compliance Boot Camp: August 7 Woodbridge, NJ: Half-Day Compliance Boot Camp: August 14 South Dallas, TX: Half-Day Compliance Boot Camp: August 11 Boca Raton, FL: Half-Day Compliance Boot Camp: August 14

SIFMA Asset Managers Forum

SIFMA's Asset Managers Forum will host the next Buy-Side Academy on Monday, August 18, focusing on the operational impact of moving to a T+2 settlement cycle in Europe, which will be effective October 6, 2014. Industry professionals representing all aspects of the trade life-cycle - including asset management firms, broker-dealers, custodians, securities depositories, industry utilities and … Continue reading SIFMA Asset Managers Forum

SEC Approves FINRA Rule Concerning Self-Trades

Regulatory Notice 14-28 SEC Approves FINRA Rule Concerning Self-Trades Effective Date: August 25, 2014 Executive Summary The SEC approved new supplementary material to FINRA Rule 5210 (Publication of Transactions and Quotations) to address transactions in a security resulting from the unintentional interaction of orders originating from the same firm that involve no change in the … Continue reading SEC Approves FINRA Rule Concerning Self-Trades

MSRB Deadline for Comments to Rule Change Request for Rule G-3

The Municipal Securities Rulemaking Board’s (MSRB) request for approval from the Securities and Exchange Commission (SEC) of a proposal to amend MSRB Rule G-3 has been published in the Federal Register. Proposed changes to Rule G–3 would require brokers, dealers and municipal securities dealers to conduct annual municipal securities training for registered representatives who regularly … Continue reading MSRB Deadline for Comments to Rule Change Request for Rule G-3

MSRB Request for Approval from SEC of proposed Rule G-44 has been published in the Federal Register

The Municipal Securities Rulemaking Board’s (MSRB) request for approval from the Securities and Exchange Commission (SEC) of proposed MSRB Rule G-44, on supervision and compliance obligations of municipal advisors, and related amendments to MSRB Rules G-8 and G-9 has been published in the Federal Register. Read the notice of publication in the Federal Register. Read … Continue reading MSRB Request for Approval from SEC of proposed Rule G-44 has been published in the Federal Register

Outside Business Activity Review (NASD Rule 3050)

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 (NASD Rule 3050)

FINRA Requests Comment on a Proposal to Establish a Publicly Accessible Online Repository of Form 211 Information

Regulatory Notice 14-29 FINRA Requests Comment on a Proposal to Establish a Publicly Accessible Online Repository of Form 211 Information Comment Period Expires: September 2, 2014 Executive Summary FINRA is soliciting comment on a proposal to make publicly available through FINRA’s website a repository of Form 211 information. Firms are required to complete FINRA’s Form … Continue reading FINRA Requests Comment on a Proposal to Establish a Publicly Accessible Online Repository of Form 211 Information

FINRA Information Notice: Revised Process for Candidates Whose Primary Language Is Not English

Information Notice 7/10/14 Revised Process for Candidates Whose Primary Language Is Not English to Receive Additional Time to Complete a Qualification Examination or Continuing Education Session Effective: September 8, 2014 Executive Summary FINRA is enhancing the process for candidates with limited English proficiency (LEP) to receive additional time to complete a qualification examination or Regulatory … Continue reading FINRA Information Notice: Revised Process for Candidates Whose Primary Language Is Not English

SIFMA Audit Report Writing Seminar

www.sifma.org/blastemails/societies/ias/ias-auditreportseminar_tev1.html Writing an audit report that communicates the right message to stakeholders and management is always a challenge.  This course will provide the key strategies and secrets to write an effective audit report that gets results.

SIFMA Audit Directors Roundtable 2014

www.sifma.org/blastemails/societies/ias/iasbusinesscontinuity090914_tev1.html The Internal Auditors Society will have an IT Audit Directors Roundtable on September 9, 2014 focused on Business Continuity: Challenges in a Changing Regulatory Environment. Join Nazir Vellani and Luke Miller of Ernst & Young to hear more.

SEC Approves Amendments to Equity Trade Reporting and OATS Rules

Regulatory Notice 14-21 Effective Dates: OATS: April 7, 2014; ORF: September 15, 2014; ADF and TRFs: (millisecond reporting): September 29, 2014; ADF and TRFs (remaining amendments): First Quarter 2015 Executive Summary The Securities and Exchange Commission (SEC) has approved amendments to FINRA rules governing the reporting of (i) over-the-counter (OTC) transactions in equity securities to … Continue reading SEC Approves Amendments to Equity Trade Reporting and OATS Rules

FINRA Announces Nomination Process to Fill Upcoming Vacancies on the National Adjudicatory Council

Election Notice 8/1/14 Petitions for Candidacy Due: September 15, 2014 Executive Summary The purpose of this Election Notice is to announce the nomination process to fill two vacancies on the National Adjudicatory Council (NAC) to be filled by one Large Firm NAC Member and one Small Firm NAC Member. FINRA’s Nominating and Governance Committee nominated … Continue reading FINRA Announces Nomination Process to Fill Upcoming Vacancies on the National Adjudicatory Council

SIFMA AMG Derivatives Conference

With new leadership at the U.S. derivatives regulators in place, overseas derivatives reforms starting to take shape and swap markets in transformation, now is the right time to take stock and assess the state of the global derivatives markets.  The SIFMA Asset Management Derivatives Conference is the premier buy-side focused derivatives event for the latest … Continue reading SIFMA AMG Derivatives Conference

Outside Business Activity Review (NASD Rule 3050)

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 (NASD Rule 3050)

SEC Approves Amendments to Equity Trade Reporting and OATS Rules

Regulatory Notice 14-21 Effective Dates: OATS: April 7, 2014; ORF: September 15, 2014; ADF and TRFs: (millisecond reporting): September 29, 2014; ADF and TRFs (remaining amendments): First Quarter 2015 Executive Summary The Securities and Exchange Commission (SEC) has approved amendments to FINRA rules governing the reporting of (i) over-the-counter (OTC) transactions in equity securities to … Continue reading SEC Approves Amendments to Equity Trade Reporting and OATS Rules

FINRA Revises the Product and Problem Codes Used for Reporting Customer Complaints and Filing Required Documents Online

Regulatory Notice 14-20 Implementation Date: October 1, 2014 Executive Summary Starting on October 1, 2014, firms must select revised and new product and problem codes when: (1) reporting information regarding written customer complaints alleging theft or misappropriation of funds or securities, or forgery; (2) reporting quarterly statistical and summary information regarding written customer complaints; and … Continue reading FINRA Revises the Product and Problem Codes Used for Reporting Customer Complaints and Filing Required Documents Online

SILA National Education Conference

Where is the SILA 2014 National Education Conference? Disneyland® Hotel Anaheim, California When is the SILA 2014 National Education Conference? October 5-8, 2014 Attend SILA's annual conference to participate and learn about hot topics affecting insurance and securities licensing professionals. Following are securities related sessions on the agenda for the 2014 conference.  

FINRA Advertising Regulation Conference

FINRA's annual Advertising Regulation Conference provides practical guidance on complying with advertising rules and regulations for communications with the public. Highlights Current regulatory developments in securities advertising Interactive, hands-on workshops Office hours with FINRA Advertising Regulation analysts CLE and CPE credits available Register early for reduced in-person rates. Additional conference details—including the agenda and session … Continue reading FINRA Advertising Regulation Conference

Proposed Rule Change to Revise the Series 24 Examination Program

SR-FINRA-2014-035 Proposed Rule Change to Revise the Series 24 Examination Program Financial Industry Regulatory Authority, Inc. (“FINRA”) is filing with the Securities and Exchange Commission (“SEC” or “Commission”) revisions to the content outline and selection specifications for the General Securities Principal (Series 24) examination program. The proposed revisions update the material to reflect changes to … Continue reading Proposed Rule Change to Revise the Series 24 Examination Program

Proposed Rule Change to Revise the Series 23 Examination Program

SR-FINRA-2014-034 Proposed Rule Change to Revise the Series 23 Examination Program Financial Industry Regulatory Authority, Inc. (“FINRA”) is filing with the Securities and Exchange Commission (“SEC” or “Commission”) revisions to the content outline and selection specifications for the General Securities Principal Sales Supervisor Module (Series 23) examination program.2 The proposed revisions update the material to … Continue reading Proposed Rule Change to Revise the Series 23 Examination Program

SIFMA Social Media Seminar

SIFMA's next Social Media Seminar will take place on October 23, 2014 in New York City. Coming back to New York from the west coast, this one-day event brings together experts across multiple fields to further explore the increasingly important issues our industry faces in light of the rapidly changing and growing tools of social … Continue reading SIFMA Social Media Seminar

SIFMA Ethics Seminar

Join SIFMA and SIFMA's Compliance & Legal Society at an Ethics Seminar for financial services lawyers. Top industry professionals will discuss a range of topics, including: the SEC and CFTC ethics rules, internal investigations, privilege issues, client relationships, and much more. Learn more about the ethical issues impacting the industry and satisfy all your ethics … Continue reading SIFMA Ethics Seminar

SIFMA Complex Products Forum

The Complex Products Forum is a collaborative event that brings together regulators, distributors, and manufacturers to discuss the issues, challenges, and opportunities related to the sale of complex products to retail investors. This full-day program will examine: Reasonable-basis suitability and innovative investment products Due diligence process when on boarding new products Ongoing supervision and oversight … Continue reading SIFMA Complex Products Forum

SIFMA National Conference on the Securities Industry

Join SIFMA's Financial Management Society (FMS) and the AICPA on October 29-30 for the latest accounting, auditing and financial regulatory developments affecting securities firms. Hear from regulators first-hand and gain access to in-depth analysis and thought provoking Q&A sessions with industry experts. NEW LOCATION: This year, the conference will be held at the New York … Continue reading SIFMA National Conference on the Securities Industry

Outside Business Activity Review (NASD Rule 3050)

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 (NASD Rule 3050)

FINRA and the Wharton School offer CRCP Program

FINRA and the Wharton School offer the Certified Regulatory and Compliance Professional (CRCP) Program—an executive education experience that covers the theory and practical application of securities laws and regulation through intensive instruction, discussion and case studies. The program is comprised of two weeklong residential courses at the Wharton campus in Philadelphia. Week I – August … Continue reading FINRA and the Wharton School offer CRCP Program

SIFMA 2014 Annual Meeting

SIFMA's 2014 Annual Meeting gathers the leaders of the financial services industry together with prominent policymakers and financial media. In one-on-one conversations, thought leaders will share their perspectives on how the financial services industry will best serve tomorrow's economy. Join us to explore the role of capitalism in creating opportunity across America. How do we … Continue reading SIFMA 2014 Annual Meeting

SIFMA Diversity Conference

SIFMA 2014 Diversity Conference: 20/20 VISION For Global Diversity and Inclusion SIFMA's annual Diversity and Inclusion Conference brings together industry leaders to share perspectives on ways to advance Diversity and Inclusion as a crucial ingredient in achieving an organization's priorities and meeting the needs of clients as well as employees. Business line managers and leaders, … Continue reading SIFMA Diversity Conference

FINRA South Region Compliance Seminar

2014 FINRA South Region Compliance Seminar November 20 – 21, 2014 Fort Lauderdale, FL Marriott Harbor Beach Registration is now open for the FINRA South Region Compliance Seminar. The One-and-a-half-day event provides compliance and legal professionals an opportunity to discuss important regulatory and compliance issues and solutions with industry peers and regulators. Throughout the event, … Continue reading FINRA South Region Compliance Seminar

2014 FINRA Small Firm Conference

2014 FINRA Small Firm Conference December 10 – 11, 2014 San Francisco, CA Registration is now open for FINRA's new Small Firm Conference, which focuses on small firms' practices and tips for complying with FINRA rules. Each session begins with a FINRA staff member highlighting key requirements of a rule, and then small firm panelists … Continue reading 2014 FINRA Small Firm Conference

Automatic Transfers: Ebill System in CRD

Firms with sufficient monies in their Flex-Funding Account will have funds transferred to their Renewal Account to cover total renewal fees owed.  Transfers will be conducted every day until Web CRD shuts down for year-end procesing.

Outside Business Activity Review (NASD Rule 3050)

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 (NASD Rule 3050)

Last Day to submit Form Filings prior to year-end

Web CRD/IARD are available from 8 am to 6 pm ET. Note: FINRA will be closed Saturday, December 27 and FINRA staff support is unavailable.  Therefore, Forms U4 and BD filing/deficiencies will not be manually reviewed by staff until full system functionality resumes on Jan. 2, 2015.

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