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Thornton & Associates, LLC can customize a Comprehensive Compliance Package to assist your Compliance Department in meeting your regulatory obligations.  Below is a list of services that can be included in your Compliance Package. 
Please contact us at (877) 542-6759 for more information about our Comprehensive Compliance Packages.

Annual Reviews and Internal Audits

  • Conduct a comprehensive FINRA Rule 3010 Internal Audit
  • Complete the annual SEC Rule 17(a)(4) Electronic Storage Audit
  • Conduct the annual Regulation SP Privacy Policy Audit
  • Complete the annual Business Continuity Plan review.
  • Update the firm’s OSJ and branch office audit program.
  • Assist in the completion of the FINRA Rule 3012/3013 Supervisory Systems Audit
  • Moderate the annual CEO/CCO 3012/3013 meeting
  • Prepare the annual CEO Rule 3012/3013 Compliance Program Certification

Anti Money Laundering

  • Conduct an Independent Anti Money Laundering Audit
  • Conduct the firm’s Anti Money Laundering Training
  • Revise and update the firm’s Anti Money Laundering Procedures
  • Review and update the firm’s Customer Identification Program
  • Prepare and review the annual CEO Anti Money Laundering Program Certification
  • Assist in filing SAR’s if needed

Continuing Education

  • Prepare the annual Needs Analysis
  • Prepare the annual Training Plan
  • Coordinate and monitor the firm’s online continuing education completion progress
  • Update the firm’s Regulatory Element Plan
  • Monitor all of the firm’s Regulatory Element Continuing Education obligations for all of the firm’s registered personnel

Correspondence, Sales Literature and Advertising

  • Review and submit advertising to the FINRA Advertising Department
  • Review sales literature as needed
  • Complete a monthly email review

CRD Maintenance

  • Prepare and submit all Form U4 filings
  • Amend the Form BD as necessary
  • Conduct a monthly review to ensure that all CRD deficiencies are corrected
  • File all state registration applications as needed

Miscellaneous

  • Moderate the firm’s Annual Compliance Meeting
  • Conduct the annual FINRA Contact Questionnaire update
  • Review the firm’s annual Privacy Policy, AML, Order Routing, Business Continuity Plan, SIPC, disclosure
  • Review the firm’s SEC Rule 605 and 606 reports
  • Conduct a monthly best execution review (if applicable)
  • Review the firm Fidelity Bond renewal
  • Update the firm MSRB G-40 contact information report
  • Provide training to the firm’s Compliance Department, branch and OSJ managers a nd executive management
  • Q&A as needed

 

     
 

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 Thornton & Associates, LLC • 18425 Burbank Blvd.Ste. 715 • Tarzana CA 91356
Toll Free  (877) 542-6759 • Office  (818) 342-0200 • Fax  (818) 342-0203
info@thorntonandassociates.com