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Articles Posted in Supervision

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FINRA Enforcement Puts Chief Compliance Officers on Notice

On March 17, 2022, FINRA released Regulatory Notice 22-10. The regulatory guidance discusses the application of FINRA Rule 3110 – Supervision — as it relates to Chief Compliance Officers (“CCOs”).  The notice begins by making it clear that, as a general matter, supervision is the responsibility of the senior business…

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