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Tag: Broker Dealer Continuing Education

24 Jun 2020

ThinkAdvisor Article: “CCO Hit by FINRA for Business Email Infractions”

Olivia ScuteriAnti-money laundering test, Broker Dealer Compliance, Broker dealer compliance checklist, Broker dealer compliance consultants, Broker dealer compliance consulting firms, Broker dealer compliance services, Broker Dealer Continuing Education, FINRA compliance consultants

ThinkAdvisor published an article on June...

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23 Aug 2019

July 2019 FINRA Disciplinary Actions

Olivia ScuteriBroker Dealer Compliance, Broker Dealer Compliance Requirements, Broker Dealer Continuing Education, FINRA Compliance Training, FINRA Disciplinary Actions, FINRA U4, FINRA U5, Investment Banking Compliance

      The following disciplinary...

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Our Team

  • Jonathan Hurd, CAMS
  • Eden Turner, CAMS
  • Olivia Scuteri
  • Jenna Beekman
  • Frank Martorana
  • Sean Reddy
  • Abbey Mirelli

Asgard Regulatory Group, LLC.

3900 Veterans Memorial Highway
Suite 360, Bohemia, NY 11716

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