What you'll learn

In today’s rapidly evolving regulatory landscape, conducting an effective annual review has become more challenging. To help you navigate these requirements, we invite you to join us on Tuesday, December 10, 2024, at 11am ET, when ACA Wealth’s seasoned experts will provide valuable insights into meeting the obligations of the annual compliance review required under SEC Rule 206(4)-7.

Our experts will guide you through the essential steps for organizing, communicating, and managing expectations for the annual compliance review. Also, gain actionable tips for meeting regulatory standards and preparing for an efficient, thorough review.

Register today to equip yourself with best practices for a seamless annual compliance review!

Why Join 

  • Stay Updated: Gain insights on the latest regulatory changes impacting investment advisers.
  • Best Practices: Discover practical tips for organizing, communicating, and managing your annual compliance review efficiently.
  • Avoid Common Pitfalls: Understand and sidestep common weaknesses that can arise in the review process.

Register

Our speakers
  • Scott Reckamp, Senior Principal Consultant, ACA Group
  • Tina Mahota, Senior Principal Consultant, ACA Group
ACA_Wealth_TM_rgb_pos_Logo_2000x444 for hubspot

You need solutions that meet your needs, fit your budget, and consider the complexity of your firm’s unique compliance requirements. 

Our dedicated wealth manager practice, ACA Wealth, offers unmatched GRC experience and expertise for Wealth Management firms.

Gain peace of mind as you launch, grow, and protect your business with ACA.

Our unique blend:

Our regulatory compliance, managed services and technology gives you access to full service GRC solutions that can help you launch, grow, and protect your firm.