It is important to keep abreast of changes and developments in compliance regulations, so that the investment advisory firms and advisors can devote their attention to the advice their clients rely on them to provide. Compliance expert, Ellen Bruno, CPA/PFS, CGMA, walks you through the topics regulators would expect investment advisory staff to understand. If you are a state or SEC Registered Investment Adviser, or are considering registration, these modules may clarify various requirements.
To access all the training modules,