November 2012 Monthly Compliance and News Recap (FINRA Podcast)

FINRA's podcast of its November monthly compliance and news recap. See below:

Notices

  • Change of effective date of TRACE rule;
  • Through TRACE, FINRA has started TBA transaction informations (Reg. Notice 12-48);
  • SEC approved amendments to FINRA rules to conform to the JOBS Act (Reg. Notice 12-49);
  • SEC approved FINRA Stop Order Rule Amendments (Reg. Notice 12-50).

Resources

  • Review of compliance with FINRA rules prohibiting trading ahead of customer orders;
  • Review of impact of firms' operations post-Sandy;
  • Public comments by FINRA executives.

Education (links on FINRA website)

  • New e-learning course on AML Compliance Obligations;
  • 2013 Fixed-Income Conference and Annual Conference registrations;
  • Free online webinar with FINRA Chairman Ketchum on 2012 major regulatory activities review.

News

  • Chairman Ketchum statement on SEC leadership changes;
  • Memorandum of Understanding ("MoU") with the Japan Securities Dealers Association for more robust cooperation;
  • Cease and Desist Order against WR Rice Financial Services for fraudulent conduct;
  • FINRA expelled Hudson Valley Capital Management, barred CEO for defrauding a clearing firm and its customers;
  • Complaint against TWS Financial President and Owner for fraudulent scheme targeting Brooklyn's Polish community;
  • In the wake of Sandy, FINRA issued two sets of guidance to help customers understand margin and 401K issues.

Click here to listen to the podcast.

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