FINRA: 2025 Annual Compliance Review (EL-ELC295)

Overview

This course will explore common compliance obligations—and areas of potential risk— as highlighted by actual enforcement actions by FINRA from the past year. Using these events, the course will explore registered persons’ obligations to their broker-dealers, their customers and to FINRA, as well as the relevant rules and regulations that underpin them. 

Find this course for your license


License or Certification 

 

Regulator 

 

Type 

 


Learning Objectives

  • Securities Transactions Away From BD
  • Conflicts of Interest
  • Opening Accounts & Rule 2090
  • Reg BI
  • Obligations to FINRA


Designed For:

Registered Representatives 




Course Information

Adding additional credit may change exam requirements.