Resources
Interactive Compliance Resources:
ADV Template and Checklists
Need some help completing your Form ADV Part 2? Use our new 2012 template and checklists! Featured in InvestmentNews and other industry resources. Users have said "Tremendous time saver!" "Perfectly set-up!" "An incredible leg up!"
AML
The annual independent testing
of your AML Program remains a top compliance
priority. Our experienced staff will perform the required AML Program
testing and complete a report that meets Finra and Patriot Act rule
requirements, as well as making hands-on recommendations to address any
findings.
Learn
more about Ascendant's broker dealer services
Request
a quotation
3012/3130
Let Ascendant tackle the
complexities of completing your annual rule 3012
supervisory control review. Our experienced staff will perform the
required
testing and complete a report that not only meets the rule's
requirement,
but provides practical recommendations to address any issues
identified.
Ascendant will also complete the annual report required by FINRA rule
3130,
which is needed to accompany your CEO Certification. For many
broker-dealers, April 1st is the deadline for completion of the
Rule 3012 supervisory controls report and execution of the CEO annual
certification, pursuant to Rule 3130. Don't hesitate, give us a call to
get
started now and avoid scrambling to meet the last minute deadline.
Learn
more about Ascendant's broker dealer services
Request
a quotation
ComplianceCasts
New Form ADV, Dodd-Frank Reform, Ethics, Fin-Reg, Pay to Play: We address them all in ComplianceCasts, our web-based compliance learning tool for investment advisers, broker dealers, and hedge and private equity funds. Click here to learn more!
Conferences
Our conferences, held in prime
locations around the country, provide a forum for peer networking and
the exchange of ideas and experiences in relaxed settings. In-depth
interaction among conference attendees facilitates peer-learning, with
guidance and instruction from our panelists and experts. Continuing
education credits are offered. For our latest conference offering
please click
here.
Print Articles:
-
"Considerations for Outsourcing Compliance" by Larry Cowen and Keith Marks, in "Schwab Adviser Services: Compliance Review"
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"Records Management for Investment Asvisers" by EJ Yerzak and Keith Marks, in "Practical Compliance & Risk Management for the Securities Industry"
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"What's in a Name?" by John McGovern, in "Financial Planning Magazine"
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"Pressures and Changes Around SEC Examinations" by Keith Marks and Korrine Kohm, in "Schwab Adviser Services: Compliance Review"
Additional Resources:
- www.iard.com Investment Advisor Registration Depository
- www.globalrelay.com Global Relay
- www.compliance11.com Compliance11
- www.sec.gov Securities and Exchange Commission
- www.finra.org Financial Industry Regulatory Authority
- www.financial-tracking.com Financial Tracking
- www.nfa.org National Finance Adjusters
- www.nyse.com New York Stock Exchange
- www.msrb.org Municipal Securities Rulemaking Board
- www.nasaa.org North American Securities Administration Association
- www.nscp.org National Society of Compliance Professionals
- www.sifma.org Securities Industry and Financial Markets Association
- www.cftc.com U.S. Commodity Futures Trading Commission
- www.ftc.gov Federal Trade Commission
- www.fincen.gov Financial Crimes Intelligence Center








