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Item code |
Self Audit |
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Price |
$475.00 |
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CCO Policies & Procedures SEC Self Audit. New for 2008-Rule 206(4)-7 under the Investment Advisers Act of 1940 requires SEC-registered advisers to adopt and implement written compliance policies and procedures. Rule 206(4)-7 also provides guidance for constructing a vigorous and effective compliance program and requires an annual audit of policies and procedures.NCS has designed this 34 page self-audit document to assist Chief Compliance Officers in satisfying their firms’ compliance obligations under Rule 206(4)-7.
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