
Investment Advisor Custodial Agreements could mean “surprise exams” by…
When they say the devil is in the details, take it to heart; especially investment advisors who have separate custodial […]

FinCEN issues an advisory on AML/CFT deficiencies
On April 5, 2017, the Financial Crimes Enforcement Network (FinCEN) issued an advisory announcing that the Financial Action Task Force […]

President issues executive order regarding review of regulations
On April 21, 2017 the President signed an executive order requiring the Secretary of the Treasury to review all regulations […]

Did you File a Tax Return Extension? Note Your…
If you or your tax professional has filed an extension, please note the following deadlines for filing 2016 tax returns: Partnership […]

Important Regulatory Deadlines
NFA Certified Audit Deadlines Introducing Brokers must file their annual certified audit no less than 90 days after fiscal […]

Department of Labor’s Fiduciary Rule Affects Financial Advisors, Fees,…
The Department of Labor’s fiduciary rule that affects financial advisors, fees, and mutual funds is to go into effect in […]

Amendment to NFA Compliance Rule 2-36: requirements for forex…
The CFTC recently approved NFA’s amendment to NFA Compliance Rule 2-36, which requires forex dealer members to provide customers, upon […]

CPO and CTA Reporting Requirements Update: Amendment to NFA…
Commodity Pool Operators and Commodity Trading Advisors will now be required to report two new ratios on their PQR and […]

Remember to re-up your CTA and CPO Registration Exemption!
Any CTA and/or CPO claiming an exemption from registration must reaffirm the exemption annually via the NFA’s website under Electronic […]
