Compliance & Regulatory

  • Development and implementation of customized Compliance Policies & Procedures Manual/Code of Ethics
  • Exempt Reporting Advisers, filing of applicable items in Form ADV Parts 1A
  • Non-exempt advisers, registration process, including the ongoing administration and monitoring of the
    Firm’s Investment Adviser Registration Depository (IARD) account and documentation of Form ADV Parts 1A, 2A, and 2B
  • Preparation and review of ADV Filing, Form PF and other regulatory filings
  • Employee training administration
  • Chaperoning expert network calls
  • Aggregation of insights on accounting and reporting developments, regulatory filing requirements, and financial reporting