Investment Adviser Ongoing Compliance Support
SCA offers a uniquely customized compliance support program for registered investment advisers. We engage with you to understand the optimal level of support given your current resources, business model and specific challenges. For example, you may need a high level of support to solve a current challenge and less support as current challenges are resolved. You will never have to purchase a pre-determined level of service.
We support our clients in the following areas:
- Unlimited access to consulting staff
- Regulatory inspections
- Compliance procedures and code of ethics
- Annual review of compliance program (Advisers Act Rule 206(4)-7)
- SEC Mock Audit
- Risk Assessment
- Gap Analysis
- Training
- CCO and staff coaching
- Form ADV disclosures and filings
- Form PF disclosures and filings
- CFTC/NFA filings
- Other required regulatory filings
- AML review
- Marketing review
- Municipal advisor services