The General Counsels, Chief Compliance Officers and the compliance staff members of many registered investment advisers can soon expect the stressful experience of a U.S. Securities and Exchange Commission (SEC) examination.
Kroll has identified the key focus areas and best practices for advisers to address prior to an examination to most effectively obtain a positive outcome. Based on our experts’ extensive industry experience and having successfully assisted with numerous SEC examinations throughout their careers, we have devised a methodical approach to preparing for and navigating any SEC examination.
Hear insights from Chris Lombardy, Managing Director at Kroll, on our mock exam process and why mock exams are essential for investment advisers.
To prepare your firm for a virtually inevitable SEC examination, we offer a comprehensive SEC mock examination service that includes dispatching an experienced team of professionals to your office to guide your firm through the examination process and to share best practices with your staff members. This competitively priced SEC mock examination includes the following:
Comprehensive compliance and regulatory support for FCA authorized firms.
Expert compliance advice to Asia financial institutions.
Comprehensive compliance and regulatory support for EU firms.
Assistance to develop, implement, and manage global compliance and regulatory consulting programs.
by Ken C. Joseph, Esq., Anna Povinelli
by Monique Melis, Maria Evstropova, Ken C. Joseph, Esq., Hannah Rossiter, Malin Nilsson, Aaron Weiss