BUSINESS CLIENTS
Compliance International, LLC provides a full range of services for Broker/Dealers, Investment Advisers, Investment Companies, Banks, Credit Unions, Investment Banks, Hedge Funds, Service Corporations and Insurance Companies & Insurance Agencies. The following list is illustrative of the products and services provided, but does not represent a complete list. If you have any questions regarding the financial services industry generally, please contact CI.
COMPLIANCE
PRODUCTS & SERVICES
Broker/Dealers
- Overall Compliance Review & Testing
- Form BD Registration & Amendments
- Business Expansion Plans
- Advertising & Seminar Review
- Continuing Education Needs Analysis
- Compliance Training of Reps
- Compliance Conference Speaker
- Written Supervisory Procedures Development & Review
- Branch Office Audits
- OSJ & Home Office Audits
- Testing & Verification of Supervisory Controls
- Risk Assessments
- Solicitor Procedures for Investment Advisory Services
- Anti-Money Laundering Procedures & Audits
- Expense Sharing Compliance Review
- Regulation SP & Other Privacy Regulations-Procedure Development & Review
- Web Site Compliance Review
- Compliance Information Technology Review
- Non-US Broker/Dealer Operations & Procedures
Investment Advisers
- Form IARD Registration & Amendments
- Form ADV & Schedules
- Written Supervisory Procedures Development & Review
- Code of Ethics
- Trading Policies
- Aggregation & Order Handling Practices
- Trade Allocation Review
- Risk Assessments
- ERISA Compliance Review
- Custodial Operations Review
- Hedge Fund Adviser Registration
- Hedge Fund Compliance Development & Reviews
- WRAP Fee Program Review
- Solicitor Operation & Disclosures
- Anti-Money Laundering Procedures & Audits
- Privacy Policy Review
- Annual Reviews
- Web Site Compliance Review
- Compliance Information Technology Review
Investment Companies
- Codes of Ethics
- Written Supervisory Procedures Development & Review
- Registration & Registration Exemption Analysis
- Independence Review & Audit
- Operational Audits
- Risk Assessments
- Portfolio Trade Practices Review
- Soft Dollar Practice Review
- Privacy Policy Review
- Investment Advisory Relationship Review & Formulation
- Custody Formulation & Review
- Web Site Compliance Review
- Compliance Information Technology Review
Hedge Funds and Their Advisers
- Investment Management Process
- Side-by-Side Management Issues
- Conflicts Controls & Disclosures
- Trading & Brokerage Issues
- Custody Procedures & Controls
- Code of Ethics
- Fund Structure
- PPM and Private Fund Exemption Controls
- Lockups & Disclosures
- Bicameral Operations of Regulation S/Regulation 144A Offerings
- Client Communication
- Customer Reporting & Valuation Matters Form ADV
- Client Management Agreement & Compliance Procedures
Banks
- Operational Review to Ensure Compliance with Regulations of the Federal Reserve Bank, FDIC, OCC, among others.
- Gramm-Leach-Bliley Act Compliance Review
- Investment Program Formulation & Review
- Business Plan Development
- Analysis of 3rd Party Broker/Dealers
- Marketing Compliance Formulation & Review
- Referral & Incentive Practices Review
- Analysis of Trust Department Operations
- Bank Portfolio Trading Practices Review
- Investment / Merchant Banking Operations Compliance Review
- Web Site Compliance Review
- Compliance Information Technology Review
Credit Unions
- Review of Credit Union Operation to Ensure Compliance with NCUA Regulations
- Investment Program Formulation & Review
- Business Plan Development
- Analysis of 3rd Party Broker/Dealers
- Web Site Compliance Review
- Compliance Information Technology Review
Insurance Companies & Agencies
- Market Conduct Reviews
- Market Structure
- Compliance Procedures
- Networking & Affinity Marketing
- Procedure Reviews per IMSA and other Standards
- Product Design & Filings
- Management & Agent Consultations
- Web Site Compliance Review
- Compliance Information Technology Review

