Let’s face it. Meeting your regulatory obligations isn’t getting easier. In fact, compliance requirements for investment advisors are likely to become even more burdensome, which is why many advisors are turning to outsourced solutions.
If you are considering outsourced compliance services, we invite you to start your discovery process by exploring STP’s broad range of finance and compliance solutions, which we are confident can address any or all of your regulatory requirements.
Simply complete this form to schedule a meeting with our team today.
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Not Every Outsourced Compliance Services Provider is the Same
It should come as no surprise that financial services regulatory and compliance consultants vary in size, structure, and by the services they offer. So when evaluating different providers, it’s essential you consider only those firms with the depth of experience, proven track record, and comprehensive services to meet your specific needs.
A Tailored Approach To Meet Every Potential Requirement
While every firm is bound to meet regulatory requirements, not everyone requests the same level of support, which is why we can create a customized plan to support your firm. Our solutions include:
- State or SEC Registration
- Ongoing Compliance Consulting
- Exams (Annual Compliance Reviews or Mock Exams)
- Risk Assessments
- Customized Compliance Manuals
- Regulatory Filings
- Deputy Chief Compliance Officer
Where should you start in your discovery process? Since you are already here, we suggest you begin with our team at STP Investment Services.
The Confidence You Need and Expect From Compliance Professionals
Services to meet your requirements include:
- Support for Regulatory Filings
- Compliance Program Implementation
- Employee Training
- Compliance Committee Governance
- Ongoing Compliance Monitoring
- AML Compliance Assistance