Regulation and Compliance Conference

Available in 2009

FINRA’s NY Regulation and Compliance Conference addresses regulatory requirements and compliance practices of larger broker-dealers and other firms with multi-faceted—and on many occasions, global—business models. Workshops provide opportunities for regulators and industry peers to discuss strategies and solutions for regulatory matters that attendees find most urgent. 

 

Additional information about the conference will be provided online in 2009.

Last Updated: 9/10/08