Category Archives: Compliance

SEC EXAMS Issues Marketing Rule Risk Alert 

On December 16, the SEC’s Division of Examinations (EXAMS) issued a Risk Alert on the Marketing Rule.    EXAMS previously published [...]

Enhancing Audit Quality: Key Takeaways from the SEC’s Chief Accountant on PCAOB Oversight

Kurt Hohl, the SEC’s Chief Accountant, shared insights on current SEC and Public Company Accounting Oversight Board [...]

License to Advise Part 2: Investment Adviser Representative Registration Oversight 

By: Ariana Monchick In our November newsletter, we highlighted some important considerations and deadlines for Investment [...]

November Regulatory Roundup: DOGE Exits the SEC, NFA Revises Digital Asset Disclosure Rules

DOGE Departs the SEC On October 30, Reuters reported that the U.S. Department of Government [...]

NSCP Annual Conference: Key Takeaways from Former Regulators

By: Jackie Hallihan This year’s NSCP National Conference opened with an unfiltered conversation featuring former [...]

Part 1: Important Registration Renewal and CE Deadlines for Financial Advisers

By: Ariana Monchick From new continuing education requirements for investment adviser representatives (“IARs” as defined [...]

Embracing AI in Compliance: Start Small, Start Now — But Start

AI isn’t a trend on the horizon. It’s already transforming how firms operate, make decisions, [...]

Compliance Considerations for AI Use and Policies

By: Matt Calabro Artificial intelligence is no longer a future concept—it’s part of daily operations [...]

Regulation S-P Reminder

With just two months left before the December 3, 2025 compliance deadline, the SEC has [...]

Recent SEC Remarks

By: Jackie Hallihan The SEC closed September with two major announcements that signal a more [...]