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Focus 1 Associates - RIA Compliance

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Title: Focus 1 Associates - RIA Compliance


1
SEC RIA compliance
  • http//focus1associates.com/services/

2
About Focus 1 Associates
  • Focus 1 Associates LLC is a premier provider of
    regulatory compliance services. Dedicated to
    assisting registered investment advisers with
    their compliance needs under Rule 206(4)-7 of the
    Investment Advisers Act of 1940, we specialize in
    the areas of
  • Annual Compliance Review
  • Mock SEC Examinations
  • Third-Party Compliance Reviews
  • New Adviser Setup
  • Compliance Training
  • http//focus1associates.com/services/

3
SERVICES Annual ria compliance review
  • Annual RIA Compliance Review
  • Provide your the tools and consulting needed to
    complete and document a robust Annual RIA
    Compliance Review that satisfies the requirements
    of Rule 206(4)-7 of the Investment Advisers Act
    of 1940 and industry best practices.
  • http//focus1associates.com/services/

4
SERVICES Mock SEC Examination
  • Mock SEC Examination
  • Conduct a mock SEC examination on your firm based
    on the most current SEC request list. We will
    perform an initial review and analysis of the
    initial information provided by your firm in
    order to select samples, request additional
    information, and identify individuals to
    interview while on site. This initial
    preparation will allow us to make more efficient
    use of the time spent in your office reviewing
    books and records.
  • http//focus1associates.com/services/

5
SERVICES New Adviser Setup
  • New Adviser Setup
  • Work with your compliance/management team to
    provide assistance with the following
  • - ADV Parts 1 2A filing
  • - ADV Parts 2A and 2B development
  • - Code of Ethics development
  • - Policies and Procedures development
  • - New Adviser Examination Request Letter review
  • http//focus1associates.com/services/

6
SERVICES Compliance YOUniversity
  • Compliance YOUniversity
  • Monthly webinar that provides training on rules,
    regulations, and industry best practices. We
    provide unique industry-wide regulatory insight
    related to SEC (covering both the Investment
    Adviser Act and Investment Company Act), state
    and/or GIPS compliance.
  • http//focus1associates.com/services/

7
contact
  • Focus 1 Associates LLC
  • 830 Alder Creek Drive, Suite B
  • Medford, Oregon 97504
  • TEL (541) 201-2001
  • FAX (541) 201-2002
  • toby_at_focus1associates.com
  • www.focus1associates.com
  • http//focus1associates.com/services/
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