RIA Compliance Consultants
Blog
 
Home
About Us
Our Services
  Registration Services
Annual Compliance Program
Compliance Webinars
Blog
Navigating the Regulatory Maze
Frequently Asked Questions
  IA Registration
Series 65 Exam
Solicitor
Form 13F
Schedule H
Written Supervisory Procedures
Codes of Ethics
Insurance Agents as IAs
Compliance Tips
  State IA Registration
Form ADV Background
Form ADV Drafting
SEC Examination
Published Articles
Contact Us

Newsletter Signup
Speaker Request
Resources
Search Our Site
Disclosures
(877) 345-4034
Blog
Monday, October 31, 2005

IA Branch Office Registration

Does your investment advisor firm have an office location in a state that requires branch office registration? If so, have all of your office locations been properly reported to the appropriate state regulatory office? Depending on whether your firm is SEC or State registered, your firm may need to register its investment advisor office locations in states that require such filings. These requirements are in addition to reporting office locations on the ADV Part I.

Beginning on Monday, October 31, Web CRD will be updated to facilitate the filing of advisor firm branch office filings. In addition, some states will also require branch office renewal fees to be paid through Web CRD. To read the NASAA press release concerning this new Web CRD functionality and view a table of states that will require branch office filings through Web CRD, click here.

Regardless of whether your firm is SEC or state registered, if the firm has a physical office location in a state, the firm will need to be notice filed (if SEC registered) or registered (if at the state level) in that state. A notice filing or registration is also needed for firms that advertise in a state. For states in which an advisor firm simply has clients, the firm must be aware of the state's client de minimus exemption. Of course there are exceptions to these general guidelines and states have different requirements for the licensing of advisor representatives. If you have any questions on where your firm, representatives, or branch offices need to register, give us a call.

Labels: ,

posted by bhill at 10:30 AM

 

 

Turnkey Investment Advisor Registration Service

Starting an RIA?

Utilize our expertise to leverage your time while growing your new business.

Request a Proposal

Annual Investment Advisor Compliance Program

Need help implementing an ongoing and comprehensive compliance program?

Outsource the heavy lifting by partnering with industry experienced professionals.

Request a Proposal

Subscribe to this Feed

Recent Posts
Form ADV Deficiencies Most Commonly Cited During S...
Did your Firm Renew for 2008?
2008 IARD Annual Renewal and Form ADV Annual Amend...
2008 IARD Annual Renewal and Form ADV Annual Amend...
Third Quarter Personal Securities Transaction Repo...
Third Quarter 2007 Form 13F Reports due by Mid-Nov...
SEC Files Cease-and-Desist Order Against an Invest...
SEC Issues Cease and Desist Proceedings for Failin...
SEC Announces CCOutreach Registration
SEC Issues Cease-and-Desist Order for Incomplete D...

Subjects
ADV Part 2
Advertising
Annual Amendment
Best Execution
CFP
Code Of Ethics
Compliance Program
Compliance Training
Compliance Violations
Conflict Of Interest
Custody
Customer Complaint
Enforcement
Equity-Indexed Annuities
Financial Statements
Form 13F
Form ADV
Form U4
Hedge Funds
IAR Licensing
IARD
Insider Trading
Inv Adv Rep
Outside Business Activities
PST
Pensions
Privacy
Proxy Voting
REg
Record Keeping
Registration
Regulatory Inspections
Renewals
SEC Inspection
SEC
Schedule 13G
Short Sales
Soft Dollars
Solicitors
Trade Allocation

Archives
May 2005
June 2005
July 2005
August 2005
September 2005
October 2005
November 2005
December 2005
January 2006
February 2006
March 2006
July 2006
August 2006
September 2006
October 2006
November 2006
December 2006
January 2007
February 2007
March 2007
May 2007
June 2007
July 2007
August 2007
September 2007
October 2007
November 2007
January 2008

 
 
Easy-to-Read Instructions

* RIA Compliance Consultants, Inc. (“RCC”) is not a law firm and does not provide legal services. A compliance consulting relationship with RCC is not provided those legal and professional protections that normally exist under an attorney-client relationship. For more information, please visit our Disclosures webpage.

Home
About RIA Compliance Consultants, Inc.
Our Services
   Investment Advisor Registration Service
  Annual Compliance Program Service
Compliance Tips
  Tips for Registering as a State Investment Advisor
  Form ADV Background
  Form ADV Drafting Tips
  SEC Exam Tips
Compliance Webinars
Frequently Asked Questions
   Investment Advisor Registration FAQs
  Series 65 Examination FAQs
  Solicitor Referral Arrangements FAQs
  Form 13F, Schedule 13D & Schedule 13G FAQs
  Schedule H FAQs
  Written Supervisory Procedures
  Codes of Ethics
  Insurance Agents as IAs FAQs
Published Articles
Blog
Contact RIA Compliance Consultants, Inc.
Newsletter
Speaker Request
Investment Advisor Resources
Search
Disclosures
Site Map
Link to RIA Compliance Consultants, Inc.