Regulatory Compliance Specialists
Regulatory Compliance Specialists

 

STRATEGIC AFFILIATIONS

Compliance International, LLC is focused on the compliance aspects of the financial services industry. CI maintains a strategic affiliation in order to facilitate its clients obtaining additional services.

In order to provide clients with legal services in the financial services, business strategy and individual planning processes, CI has a relationship with an international law firm that can provide a broad array of legal services, including, but not limited to:

  • Stock Purchase Negotiations & Agreements
  • Merger & Acquisition Negotiations & Agreements
  • Private Placement Memorandums
  • Stock Option Plans
  • Compensatory Benefit Plans
  • Contract Formulation & Review of Selling Agreements, Vendor Agreements, Clearing Firm Agreements & Other Service Agreements
  • Expense Sharing Agreements for Broker/Dealers
  • Investment Adviser Agreements for Mutual Fund Boards
  • Investment Advisory Customer Agreements
  • Investment Adviser Solicitor Agreements
  • Securities Filings
  • Insurance Product Filings
  • Promissory Notes
  • Letters of Intent
  • Letters of Revocation
  • Escrow Agreements
  • Wills
  • Trusts
  • Estate Planning
  • Asset Protection
  • Durable Powers of Attorney
  • Living Wills
  • Contract Formulation & Negotiation
  • Real Estate Transactions
  • Corporate Formations
  • Corporation Actions & Documentation
  • Partnership Formations
  • Limited Liability Company Formations
  • Board of Directors Participation & Consultation
  • Client representation for Investment Losses due to Misrepresentation, Churning, Unsuitable Recommendations
  • Alternative Dispute Resolution, Generally
  • Arbitrations Involving Broker/Dealers & Investment Advisers
  • Etc.

 

 Top  

website design by cymaxmedia.com