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SEC and FINRA broker-dealer exam priorities for 2019: how to prepare

Journal of Investment Compliance

ISSN: 1528-5812

Article publication date: 27 September 2019

Issue publication date: 3 December 2019

103

Abstract

Purpose

The purpose of this paper is to summarize and analyze the 2019 broker-dealer examination priorities of the Financial Industry Regulatory Authority (“FINRA”) and the US Securities and Exchange Commission’s (“SEC”) Office of Compliance Inspections and Examinations (“OCIE”).

Design/methodology/approach

This paper provides an overview of the FINRA and OCIE examination priorities for the year, details particular aspects of both regulators’ priorities that may be of interest to broker-dealers and provides practical tips to prepare for a regulatory exam.

Findings

In 2019, OCIE intends to prioritize retail investors, compliance and risk in registrants responsible for critical market infrastructure, digital assets, cybersecurity and anti-money laundering programs. FINRA will focus on a number of materially new areas of attention, as well as on sales practice, operational, market and financial risks.

Practical implications

Broker-dealer firms should review their policies and procedures in the areas highlighted by FINRA and OCIE, both to ensure that the procedures are consistent with existing regulatory requirements and to assure that firm personnel are actually complying with those policies and procedures. In situations where the firm’s practices have changed over time, firms should amend their policies and procedures to comport with current practices.

Originality/value

This paper provides an overview of the notable aspects of both regulators’ examination priorities that are particularly relevant to broker-dealers and recommends ways that firms can prepare for examinations on those issues.

Keywords

Acknowledgements

The views and opinions set forth herein are the personal views or opinions of the authors; they do not necessarily reflect views or opinions of the law firm with which they are associated.

Citation

Pruitt, L.S., Bergers, D.P. and Love, E.A. (2019), "SEC and FINRA broker-dealer exam priorities for 2019: how to prepare", Journal of Investment Compliance, Vol. 20 No. 4, pp. 1-8. https://doi.org/10.1108/JOIC-07-2019-0043

Publisher

:

Emerald Publishing Limited

Copyright © 2019, Laura S. Pruitt, David P. Bergers and Eric A. Love.

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