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IBDC-RIAC Webinar: Novel Coronavirus Leads to Novel Compliance Concerns: Branch Audits and Selling Away
Partners Scott Sherman and Dan Newman spoke on a panel hosted by the Independent Broker Dealer Consortium regarding compliance concerns for those in the banking and financial services industry.
Along with other panelists, Sherman and Newman went over:
- Performing FINRA mandated branch supervision and audit responsibilities in a virtual world
- Tips and best practices for reviewing OBAs and identifying potential selling away issues in the midst of a pandemic
- Recent legal actions involving branch audits, supervision, and selling away
- Incorporating virtual supervision into your newly established Reg BI procedures
- Maintaining cyber vigilance in the world of virtual supervision and audits
Sherman practices in complex business and securities litigation. Newman is an experienced litigator of complex commercial, securities, and construction matters.
Thursday, Aug. 20, 2020
2 - 3:30 p.m. EDT
These materials have been prepared for informational purposes only and are not legal advice. This information is not intended to create, and receipt of it does not constitute, an attorney-client relationship. Internet subscribers and online readers should not act upon this information without seeking professional counsel.


