Home Office and Branch Audits
SRP provides an audit program with three primary objectives: (1) Assist in preparation of an actual regulatory examination; (2) Provide an objective assessment of the compliance system by identifying potential problem areas; and (3) Assist firms with their supervisory responsibility regarding branch office examinations.
Broker/Dealer Compliance services offered by SRP include, but are not limited to, the following:
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5. Advertising and Correspondence |
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6. Trading and Market Making |
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7. Outside Business Activities |
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8. Firm or Regulatory Specific Issues |
Upon completion of each audit, a confidential report is issued to management detailing the audit findings with recommendations for corrective actions.
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