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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
Desk-Ready Skills: Examination of the regulatory structure of the firm and securities regulators in the capital markets Regulations of securities markets, SROs Broker/Dealer Guidelines Knowledge of Capital Markets Sales Practice/Supervision Supervision (Federal and SRO schemes) Compliance
Compliance staff, branch office managers, attorneys, auditors and exchange personnel