RIA Compliance Consultants
Blog
Blog
Wednesday, May 27, 2009

SEC Backing Off Proposal to Require Third-Party Compliance Audits

According to a recent article in Investment News which quotes an official of the Financial Planning Association ("FPA"), the chairman of the U.S. Securities and Exchange Commission ("SEC"), Mary Schapiro, is backing off of her previously discussed, but never formerly considered by the SEC, proposal to require each federally registered investment adviser to engage a third-party to conduct an annual compliance audit of the investment adviser.

Based upon recent public comments by several other SEC commissioners during the past month, this report isn't surprising. The fact that the third-party compliance audit requirement was not included with the SEC's recently proposed surprise audit and SAS 70 Type II audit requirement was a telltale sign that there wasn't a consensus among SEC commissioners for this approach.

Of course, this leads to the question of what, if any, additional reform efforts will the SEC support with respect to registered investment advisers. As the SEC's position become clearer, RIA Compliance Consultants will keep its readers of these developments.

Labels: , ,


| More

posted by bhill at 2:00 PM

 

 

Subscribe to this Feed

Recent Posts
Background Information for RIAs Concerning SAS 70 ...
SEC Proposes New Custody Rule for RIAs Requiring A...
SEC Issues First Enforcement Action Against a RIA ...
SEC Will Consider at May 14 Meeting Whether to Pro...
SEC Will Consider This Week: New Controls for Reg...
SEC Commissioner Calls for Uniform Fiduciary Duty ...
FPA Questions SEC's Proposed Suprise Custody Audit...
SEC Considering Rules Requiring Surprise CPA Exams...
Nebraska Fines B-D Rep $3,000 for Advertising Viol...
Did your Firm Renew for 2009? Don’t Forget About ...

Subjects
ADV Part 2
Advertising
Annual Amendment
Arbitration
Assignment
Best Execution
Books Records
CFP
Code Of Ethics
Compliance Program
Compliance Training
Compliance Violations
Conflict Of Interest
Credit Union
Custody
Customer Complaint
Enforcement
Equity-Indexed Annuities
Fee Audit
Fiduciary
Financial Statements
Form 13F
Form ADV
Form U4
Gifts
Hedge Funds
IAR Licensing
IARD
Insider Trading
Inv Adv Rep
Outside Business Activities
PST
Pensions
Political Contributions
Pooled Investment Vehicle
Power Of Attorney
Privacy
Proxy Voting
REg
Record Keeping
Registration
Regulatory Inspections
Renewals
SAS 70 Audit Report
SEC Inspection
SEC
SRO
Schedule 13G
Series 65
Short Sales
Soft Dollars
Solicitors
Succession Planning
Third-Party Compliance Audit
Trade Allocation
Webinar