Compliance and Risk Management

Compliance and Risk Management ensures that financial advisory practices adhere to regulatory requirements, industry standards, and internal policies. This unit focuses on documentation, supervision, suitability of recommendations, and protecting the firm from regulatory and reputational risks.

This department is part of the Financial Advisory business area .

Products fall into the following categories:

Regulatory Compliance Systems 23 products
Platforms that track changing regulations, automate compliance workflows, manage required disclosures, and ensure advisors meet regulatory obligations from bodies like the SEC, FINRA, and state regulators. more...
Transaction Surveillance Software 10 products
Tools that monitor trading activities, detect potential conflicts of interest, identify suspicious transactions, and ensure compliance with anti-money laundering (AML) regulations. more...
Advisor Supervision Systems 24 products
Solutions for supervising advisor activities, reviewing client communications, monitoring outside business activities, and ensuring adherence to firm policies and regulatory requirements. more...
Audit Trail Systems 8 products
Software that maintains comprehensive records of all client interactions, recommendations made, and the basis for those recommendations to demonstrate compliance with fiduciary or suitability standards. more...
Cybersecurity Infrastructure 20 products
Comprehensive security solutions including firewalls, encryption tools, multi-factor authentication systems, and intrusion detection systems to protect sensitive client financial data. more...
Data Backup and Recovery Systems 10 products
Hardware and software solutions that ensure continuous backup of critical client and business data with rapid recovery capabilities in case of system failures or cyber incidents. more...

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