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2022 AICPA & CIMA ENGAGE

PFP22101A3 - Regulatory and Compliance Issues


Jun 4, 2022 3:45pm ‐ Jun 4, 2022 5:50pm


Standard: $79.00

Description

Determine whether you have or will cross the line when providing investment advice, so you know when or if to register as an investment adviser Investment advisory business model options and pros and cons of each Registration process Regulatory oversight Compliance programs Determine whether you will cover your compliance needs or outsource Hot topics (social media rules, custody, etc.) Protecting your practice with insurance Q&A

Learning Objectives:
  • Recognize the future of services to individuals
  • Use numerous compensation and service business models used by CPAs who have built practices that provide the highest client value
  • Recall tips to effectively communicate with clients
  • Identify compliance, technology and practice management considerations
  • Determine what you need to be successful in providing financial planning services from CPAs who have thriving businesses

Speaker(s):

​Speaker - Virtual(s):

  • Ellen M. Bruno, CPA, CGMA, PFS, President, Compliance Advisor Professionals,LLC
  • Erik Ordal, CPA, President, Guardian Wealth Advisors, LLC
Tags: PFP
Category: Pre-Conference Optional Workshop Additional Fee

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