Forms U4 and U5 Obligations and Disclosures

Overview

This course will focus on the regulatory obligations of firms and representatives and other considerations relating to these forms. You will then review FINRA findings on these issues relating to failures to maintain the forms and FINRA’s disciplinary actions for such laps, as well as steps and practices that FINRA has found to be effective in preventing disclosure or registration-related disciplinary issues. 

Find this course for your license


License or Certification 

 

Regulator 

 

Type 

 


Objectives

  • a solid familiarity with and understanding of Form U4 and its contents and filing
  • a solid understanding of Form U5 and its contents and filing
  • a solid understanding of the potential liability you face for failing to maintain these forms accurately and current.
  • a solid understanding of the use of these forms by other regulators
  • a solid understanding of how Forms U4 and U5 feed into BrokerCheck

Designed For:

Registered Representatives 




Course Information

Adding additional credit may change exam requirements.