Securities Industry Compliance Attorney
Christopher H. Tovar is a former Chief Compliance Officer for a FINRA-member broker-dealer and an SEC-registered investment advisory firm (RIA). In the over 100 FINRA arbitrations and other matters he has litigated, this background has helped him successfully represent his clients, including brokerage firms, brokers, and RIAs. He has also saved many firms and individuals millions of dollars in potential regulatory fines and other costs in dealing with regulators.
Our Law Firm Provides Legal Counsel & Representation for SEC Compliance and Supervision.
Compliance Policy and Code of Ethics a.k.a. Written Supervisory Procedures
Annual Audits and Mock Audits
SEC / FINRA Regulatory Examinations and Inquiries
Disciplinary Proceedings
Annual Filings
Other Compliance Services
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Securities Practice Group
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: securities industry compliance attorney securities compliance code of ethics securities supervision procedures