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The Broker-Dealer Registered Representative Annual Compliance Certification serves as an important part of a firm’s overall compliance program in accordance with FINRA Rule 3110. As part of a firm’s scheduled compliance review or meeting, this certification process allows reps to complete, sign and confirm compliance in fourteen separate areas to include outside business activities, complaints & disclosures, private securities transactions, personal securities accounts, insider trading, gifts & gratuities, social media, WSPs and FINRA Rule 3241. Members also downloaded Broker-Dealer Registered Representative Quarterly Compliance Certification.
Version/Update: V.3/March 1, 2021
Total Page Count/Format: 11/.docx
Source/Author(s): Connexien
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