SEC regulatory examinations FINRA regulatory examinations |Securities Practice|

SEC/FINRA Regulatory Examinations and Inquiries

As you defend your reputation, hire attorneys who have handled dozens of SEC, FINRA and state regulatory exams and inquiries. Often litigation from unhappy investors or whistleblowers follows right on the heels of a regulatory inquiry. You need someone who defend you from a legal standpoint as well as from a compliance standpoint.

It’s a Matter of Survival

There are plenty of compliance-in-a-box firms out there and CCOs for hire, but few of them are lawyers. Fewer still are litigators who know how to defend you from regulators, or worse, claimants’ attorneys looking for a quick score – at your expense. Call today to discuss your upcoming audit and what you may be up against.

Our Law Firm Provides Legal Counsel & Representation for SEC Compliance and Supervision.

|Securities Practice|

Compliance Policy and Code of Ethics a.k.a. Written Supervisory Procedures

We can either build your Written Supervisory Procedures from scratch or evaluate and strengthen what you have already, depending on your needs. Read More »
|Securities Practice|

Annual Audits and Mock Audits

Let us help you prepare for your upcoming audit by SEC or FINRA and stress test your written supervisory procedures in the field. Read More »
|Securities Practice|

SEC / FINRA Regulatory Examinations and Inquiries

We have handled dozens of periodic SEC and FINRA regulatory exams and inquiries over the past twenty years, and numerous inquiries from state securities and insurance regulators. Let us put that experience to work for you. Read More »
|Securities Practice|

Disciplinary Proceedings

The SEC and FINRA are tougher on firms – and brokers – these days than they have ever been. Protect your reputation with the help of securities attorneys who know their business. Read More »
|Securities Practice|

Annual Filings

As an RIA firm, you have certain filing requirements you must meet every year. Mistakes can cost you. Read More »
|Securities Practice|

Other Compliance Services

Depending on your level of need, we can provide most all services needed to keep your firm compliant, from routine record-keeping to branch-level supervision and product due diligence. Read More »

Are You Ready to Talk About Your Situation?


Contact the Attorneys at Law Offices of Christopher H. Tovar, PLLC.

"*" indicates required fields

This field is for validation purposes and should be left unchanged.

Securities Practice Group

The Law Offices of Christopher H. Tovar, PLLC
3990 Chilson Road
Howell, MI 48843
(832) 370-3908

mjolnir |Securities Practice|

The Law Offices of Christopher H. Tovar, PLLC are headquartered in Southeast Michigan. Christopher H. Tovar is licensed in Michigan, Texas, Florida, New York, and Illinois and operates nationwide.*


* Michigan, Florida, Illinois, California, and New Jersey require bar membership to arbitrate FINRA cases in their jurisdictions. The Law Offices of Christopher H. Tovar, PLLC maintains relationships with attorneys in all 50 states and can arbitrate your case on a pro hac basis.

Tags:   SEC regulatory examinations FINRA regulatory examinations SEC FINRA regulatory inquiries

Share This