Adviser Exam Readiness

Produces the substantive readiness pack an SEC-registered investment adviser, broker-dealer, dual registrant, fund adviser, or private-fund adviser carries through an SEC Division of Examinations or FINRA examination cycle. Walks the firm through Form ADV / Form CRS / Form BD cross-check, the Rule 206(4)-7 written compliance program, the Rule 204A-1 code of ethics lane, the Rule 206(4)-2 custody lane, the Rule 206(4)-1 Marketing Rule lane, Rule 204-2 books-and-records, Form PF (Rule 204(b)-1) where applicable, Reg BI and Form CRS for BDs and dual registrants, FINRA 3110 / 3120 / 3130 / 3310 supervision, and the cyber / Reg S-P slice that EXAMS now reaches for routinely. Audience is the chief compliance officer, the chief executive officer, general counsel, the designated FINRA supervisor for a BD or dual registrant, the BSA officer where AML is in scope, and the firm's external counsel. Best for: - An adviser, BD, or dual registrant has been notified of an SEC EXAMS routine, focused, for-cause, or sweep exami

anotb Updated

File contents

anotb/second-line-financial-services/tree/main/plugins/sector-plugins/capital-markets-asset-management-compliance/skills/adviser-exam-readiness commit 70a7109df4

Frequently asked questions

npx skillmds@latest add anotb/adviser-exam-readiness