Compliance Consulting Shop
All Your Compliance Needs, Handled
We manage your compliance work so you can focus on your business.
Welcome to Compliance Consulting Shop!
About Us
Compliance Consulting Shop is a boutique compliance consulting firm dedicated to helping financial firms meet their regulatory obligations with confidence. Our experienced team provides practical compliance guidance tailored to each firm's regulatory requirements and business operations.
We help clients identify and address compliance issues before they become regulatory concerns. Our services include registration and regulatory filings, compliance policies and procedures, Code of Ethics development and administration, personal trading reviews, risk assessments, annual compliance reviews, documentation of compliance reviews, testing of compliance policies and procedures, and ongoing updates regarding regulatory changes. We work closely with our clients to provide customized compliance support that reflects their specific needs.
Our leadership team brings senior-level regulatory experience and stays current with evolving regulatory requirements. By monitoring regulatory developments and industry best practices, we help clients maintain effective compliance programs and remain prepared for regulatory examinations and ongoing compliance obligations.
Services
Our proactive approach ensures we address the most critical compliance matters for our clients. Whether you need ongoing compliance support or assistance with specialized projects, our services are designed to deliver practical, reliable results.
Compliance Support Program
We provide comprehensive services including:
Preparation and submission of amendments to regulatory filings, such as SEC Form ADV
Evaluation and maintenance of compliance manuals, including Policies & Procedures, Code of Ethics, Privacy Policy, Business Continuity, and Disaster Recovery Plan
State-level “blue sky” notice filings for private fund managers
Efficient management of FINRA IARD administration, including relevant state notice filings and registration of investment representatives (e.g., Form U4s)
Ongoing compliance training for firm employees
Comprehensive Compliance Assessments
Conduct in-depth reviews of your firm’s compliance practices, identifying strengths and areas for improvement
Regulatory filings and reporting to ensure compliance with all necessary requirements
Customized compliance manuals: updating Policies & Procedures, Code of Ethics, Privacy Policy, Business Continuity, and Disaster Recovery Plan
Mock regulatory examinations to test preparedness
Employee training to keep staff informed on best practices
Customized compliance solutions aligned with each firm’s business model
Risk assessments to proactively identify potential compliance risks
Serve as liaison with regulatory authorities for communications or queries
Auditing & Review
Annual compliance program review and risk assessment
Mock regulatory exam administration with comprehensive findings
Review procedures including Anti-Money Laundering compliance, best execution, trade management, proxy voting, vendor due diligence, gifts and entertainment, and political contributions
Audit necessary Books & Records
Review marketing materials, newsletters, websites, and presentations for compliance with marketing rules
Monitoring of employee personal trading
Implementation of email archiving processes
Contact Us
If you have questions or want to schedule a consultation, reach out and we will respond promptly.