With over X years of combined compliance expertise, Red Oak helps broker-dealers and investment advisors streamline their regulatory processes and reduce the risk of non-compliance. Our tailored solutions keep you ahead of SEC and FINRA regulations—so you can focus on growing your business without the heavy administrative burden.
Our senior consultants bring decades of hands-on experience in financial services compliance, offering unmatched expertise in SEC and FINRA regulations to minimize your risk of penalties and regulatory inquiries.
Red Oak combines advanced compliance technology with consulting expertise, allowing you to automate and optimize your compliance processes. Our solutions reduce manual tasks and improve regulatory response times, letting you focus on growing your business.
Avoid the expense of full-time compliance hires without compromising on quality. Our scalable consulting model ensures you have access to the highest level of expertise while reducing operational costs.
FINRA mandates that all broker-dealers maintain robust compliance programs. With the increasing complexity of regulations, staying compliant is more challenging than ever. Red Oak’s comprehensive compliance programs ensure that your policies, procedures, and operations are fully aligned with regulatory standards.
Whether you need a full compliance overhaul or targeted support, Red Oak’s à la carte services allow you to fill gaps, enhance your team’s capabilities, and reduce your compliance workload.
Our Broker-Dealer Compliance Services Include the Following:
AML Audit/Independent Testing
Risk Assessment
3120/3130 Supervisory Controls Assessments
Books and Records Creation and Review
Compliance Procedures/Manuals Creation
Business Continuity Plan Creation and Review
The Investment Advisers Act mandates that firms develop and maintain robust compliance programs. Failure to comply can result in penalties, including firm dissolution.
Red Oak keeps your firm safe by monitoring SEC and state regulation changes, ensuring your compliance programs are always up-to-date. Our experts help you stay proactive, not reactive—so you avoid regulatory scrutiny and costly fines.
Our Investment Advisor Compliance Services Include the Following:
Annual 206(4)-7 Risk Assessment and Compliance Review
Mock SEC and State Exams
On-site Compliance Assessment
Compliance Manual Creation/Customization/Review
Investment Advisory Agreements Creation and Review
Solicitor Arrangements Creation and Review
Privacy Policy Creation and Review
Anti-Money Laundering Assessment/Implementation/Audits
Advertising and Correspondence Review
Personal Securities Transaction Review
E-Mail Monitoring
Social Networking Compliance Review
Don’t wait until regulatory issues arise—safeguard your firm today. Speak with a Red Oak compliance expert to streamline your compliance processes, minimize risk, and boost profitability.