SUPERVISORY CONTROL TESTING

SUPERVISORY CONTROL TESTING

 

Pursuant to FINRA Rules 3110, 3120 and 3130, broker dealers must conduct a testing of supervisory controls no less than annually. ARG offers qualified analysts to conduct the review, evaluating policies and procedures to ensure all supervisory processes are being followed and enforced. Our analysts have worked with many broker dealers to enhance and find solutions to supervisory deficiencies.