ADVISOR COMPLIANCE GROUP

Helping Firms Manage Compliance Requirements With Confidence


About Advisor Compliance Group

Experienced Guidance for Today’s Regulatory Environment

Advisor Compliance Group works with financial services firms that require knowledgeable compliance assistance and ongoing regulatory support.

Our team helps clients identify compliance concerns, review existing processes, update documentation, and address regulatory requirements through practical solutions.

We support:

  • Registered Investment Advisers (RIAs)

  • Exempt Reporting Advisers (ERAs)

  • Broker-Dealers

  • Private Fund Managers

  • Municipal Advisors

  • Other regulated financial firms

Every firm has different compliance responsibilities. We provide customized support based on each client’s business activities, regulatory requirements, and compliance needs.


Compliance Services

Supporting Your Firm’s Compliance Responsibilities

Advisor Compliance Group provides assistance across important areas of regulatory compliance, including:

  • Registration and Regulatory Filings

  • SEC Form ADV amendments

  • Compliance Policies and Procedures

  • Code of Ethics development and updates

  • Personal Trading Reviews

  • Risk Assessment

  • Updates Regarding Regulatory Changes

  • Annual Compliance Review

  • Documentation of Compliance Reviews

  • Testing of Compliance Policies and Procedures

  • Regulatory Examination Preparation

  • Mock Regulatory Examinations

  • Compliance Manual Reviews and Updates

  • Advertising and Marketing Review

  • Books and Records Review

  • Employee Compliance Training

  • Regulatory Inquiry Support


Contact Advisor Compliance Group

Let’s Discuss Your Compliance Needs

Whether you need assistance with regulatory filings, compliance reviews, policy updates, or examination preparation, Advisor Compliance Group is available to provide practical support.

Email:
cheryl.baker@advisorcompliancegroup.com

Phone:
(646) 493-1677

Address:
2509 Astoria Blvd
Astoria, NY 11102