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IA- 2019 Investment Adviser Compliance Calendar Update NY Office of the Attorney General Library When working with third-party service

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Description

When working with third-party service providers

a broker-dealer firm shall require that each of its partners

The Quarterly Compliance Review Checklist helps adviser firms organize and conduct a series of quarterly compliance reviews and certifications to assess their level of compliance that includes twenty separate areas of risk and compliance (including new Reg

Total Page Count/Format: 2/

All answers provided by the broker-dealer allow for the reviewer to further focus the testing processes and better analyze points of risk related to the AML independent test

IA- 2019 Investment Adviser Compliance Calendar Update NY Office of the Attorney General Library When working with third-party serviceThe 2019 Investment Adviser Annual Compliance Calendar Update serves as a valuable resource guide when preparing, planning and updating your annual compliance program. The Annual Compliance Calendar Update is intended to keep investment advisers informed of date specific and event driven compliance reporting requirements, filing deadlines and rule references, as well as provide information on market holidays and events that may affect investment

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