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FINRA's 2023 Report on Examination and Risk Monitoring Program - Vimarsana News

FINRA's 2023 Report on Examination and Risk Monitoring Program

The Financial Regulatory Authority released its 2023 Report on FINRA’s Examination and Risk Monitoring Program which identifies the year’s areas of examination focus for FINRA Member Firms. The Report addresses several key topics from financial crimes to financial management.

2022 Report on FINRA's Examination and Risk Monitoring Program | Insights - Vimarsana News

2022 Report on FINRA's Examination and Risk Monitoring Program | Insights

On Feb. 9, 2022, the Financial Industry Regulatory Authority (FINRA) released its 2022 Report on FINRA’s Examination and Risk Monitoring Program (Report), in which it identifies its areas of examination focus for FINRA Member Firms (Firms) in 2022.

Source: gtlaw.com
FINRA Examination and Risk Monitoring Program 2022 Report - Vimarsana News

FINRA Examination and Risk Monitoring Program 2022 Report

2022 Report on FINRA’s Examination and Risk Monitoring Program identifies areas of examination focus for FINRA Member Firms in 2022. The Report addresses key topics from four categories: Firm Operations, Communications and Sales, Market Integrity, and Financial Management.

DOL Fiduciary Rule Rises Again, Regulatory Freeze Continues, FINRA Releases Exam Piorities: Regulatory Update for March 2021 | Hardin Compliance Consulting LLC - Vimarsana News

DOL Fiduciary Rule Rises Again, Regulatory Freeze Continues, FINRA Releases Exam Piorities: Regulatory Update for March 2021 | Hardin Compliance Consulting LLC

For Investment Advisers On December 18, 2020, the Department of Labor (DOL) adopted Prohibited Transaction Exemption 2020-02 (“PTE 2020-02”), subjecting 401(k) rollover subject to ERISA’s fiduciary rules (sometimes). The exemption, called Improving Investment Advice for Workers and Retirees, expands the definition of fiduciary advice under ERISA to recommendations about rollovers and IRA investments. So now, in addition to best interest, fiduciary and disclosure standards imposed by the SEC and FINRA, investment advisers, broker-dealers, banks, and insurance companies (“Financial Ins...

FINRA's 2021 Examination and Risk Monitoring Program Report - Vimarsana News

FINRA's 2021 Examination and Risk Monitoring Program Report

Thursday, February 18, 2021 On Feb. 1, 2021, the Financial Regulatory Authority (FINRA) released its 2021 Report on FINRA’s Examination and Risk Monitoring Program (Report), in which it identifies its areas of examination focus for FINRA member firms (Firms) in 2021. The Report replaces the prior format for examination focus, the Risk Monitoring and Examination Program Priorities Letter. In the introduction to the Report, FINRA acknowledges the ongoing COVID-19 pandemic, its regulatory notice in response, and the challenges Firms have faced in response. The report stresses, how...