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RIA Compliance Consultants |
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Written by Administrator
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Tuesday, 22 January 2008 |
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RIA Compliance Consultants, Inc. is a full-service compliance consulting firm providing registration and compliance services for investment advisors.
Bryan Hill established RIA Compliance Consultants to service investment advisors from coast to coast with customized compliance programs. While investment advisors may have extensive knowledge about managing assets, they may not be well versed in remaining in compliance with the SEC or their state regulators. Our services primarily assist investment advisors who would prefer to focus energy on their clients and on growing their business, rather than on regulatory concerns. RIA Compliance Consultants also serves their clients by keeping a finger on the pulse of the regulatory updates and concerns in the investment advisory world. Located in Omaha, Nebraska, RIA Compliance Consultants has a steadily growing client base and finds a large number of clients from online resources. Our website, www.ria-compliance-consultants.com, is one of the most thorough and informational free resources for investment advisor compliance in the industry. We offer a free newsletter and blog that provides updates on industry news to the public. You may visit our website to sign up for the newsletter or to view our blog, Navigating the Regulatory Maze for Investment Advisers. RIA Compliance Consultants is a team of industry experienced professionals dedicated to working with investment advisors who are also committed to implementing good compliance and risk management strategies. By working together, RIA Compliance Consultants helps investment advisors navigate the maze of investment advisor compliance regulations and find the best ways to satisfy their obligations. |
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Last Updated ( Tuesday, 22 January 2008 )
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