Compliance for the Securities Industry

New York Institute of Finance

ITEM RGCO0206

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17

Compliance for the Securities Industry

The structure and function of the legal and compliance department of a broker-dealer is examined in light of the overall regulatory environment in the US.

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Module 1: Regulatory Structure

  • Broker-Dealer Regulatory Structure
  • SRO Rulemaking
  • Broker-Dealer Structure

Module 2: Broker-Dealer Regulation

  • Net Capital
  • Customer Protection
  • Licensing
  • Supervision
  • Margin/Credit Rules
  • Regulation SHO

Module 3: Capital Markets Compliance

  • Underwriting
  • Regulation M
  • Rule of NASD
  • After-market Activities
  • Conflicts of Interest

Module 1: Sales Practice/Supervision

  • Suitability
  • Churning
  • Options Fraud

Module 2: Supervision

  • Federal Scheme
  • SRO Scheme

Module 3: Compliance

  • Written Supervisory Procedures
  • Internal Controls
  • CEO Certification/CCO Designation
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