Non-Licensed Owner – Checklist of Compliance Issues

$225.00

This checklist is a sample investment adviser form which is intended to give an investment adviser firm’s CCO guidance on certain issues that may arise if an investment adviser firm has a non-licensed owner. 

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This is a sample investment adviser form which is intended to give an investment adviser firm’s CCO guidance on certain issues that may arise if an investment adviser firm has a non-licensed owner. 

This sample checklist addresses compliance issues such as prohibitions by state securities regulators, IAR licensing, supervised person designation, access person/PST supervision and conflicts of interest as it relates to a non-licensed owner of an investment adviser firm. This checklist is not a comprehensive analysis; it should be treated as merely educational and not specific advice or an opinion on whether licensing is required.

This sample form should be considered as a starting point; the investment adviser firm will need to customize this sample form to its business model and policies and procedures. Please see our disclosure about the limitations of sample form at http://www.ria-compliance-consultants.com/ria_express_investment_advisor_compliance_tools/sample-forms/

Included with Bronze, Silver, Gold & Platinum Packages. Last updated June 2021.