News and Insights

FirstMark publishes articles on FINRA, SEC, and other regulatory matters of interest to broker-dealers, investment advisers, and compliance professionals. Topics include rule developments, examination preparation, AML compliance, supervisory controls testing, and membership applications.
Articles are written by Mitchell Atkins, CRCP, drawing on 20 years of experience at FINRA and ongoing engagements with industry firms.
Mitch Atkins to Speak at FMA 2025 Annual Securities Compliance Seminar in Fort Lauderdale
I'm pleased to announce that I will be speaking at the Financial…
April 8, 2025/by Mitchell Atkins, CRCPNavigating Regulatory Exams in the Age of Best Interest
I am thrilled to invite you to the Navigating Regulatory…
October 14, 2024/by Mitchell Atkins, CRCPJoin Mitch Atkins on a Regulation Best Interest Panel
Regulation Best Interest has challenged member firm compliance…
August 3, 2022/by Mitchell Atkins, CRCPJoin Mitch Atkins at the FINRA Arbitration and Enforcement Regional CLE Program
Join Mitch Atkins, Founder and Principal, FirstMark Regulatory…
February 20, 2020/by Mitchell Atkins, CRCPMitch Atkins to Speak at 2019 FMA Securities Compliance Seminar
Mitch Atkins, FirstMark's founder and principal will be speaking…
April 24, 2019/by Mitchell Atkins, CRCPAtkins Discusses FinCEN CDD Rule on FINRA AML Panel
Don't miss the the AML Challenges panel at the 2018 FINRA Annual…
May 14, 2018/by Mitchell Atkins, CRCPAML Surveillance – Major FINRA AML Case
Yesterday FINRA settled yet another major case involving AML…
December 22, 2017/by Mitchell Atkins, CRCPMitch Atkins Presenting at FINRA South Region Conference
Mitch Atkins, founder and principal of FirstMark Regulatory Solutions,…
November 30, 2017/by Mitchell Atkins, CRCPEpic BD AML Compliance Failure Yields Another Record Fine
On Monday, December 5, 2016, FINRA announced yet another record…
December 10, 2016/by Mitchell Atkins, CRCPRecent Posts
- The FINRA CMA – A Comprehensive Guide
- FINRA Application Process: Buy or Apply
- Exchange Act Rule 17a-4 – An Old Rule in a New World
- FINRA Supervisory Controls Testing in the Age of Reg BI: Six Questions That Still Matter
- FINRA Anti-Money Laundering Independent Testing
- Who Must be Fingerprinted at a FINRA Broker-Dealer?
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FINRA Compliance Podcasts
- How FINRA Is Enhancing Member Firm Examinations
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SEC News
- SEC Charges 21 Individuals With Alleged Wide-Reaching Insider Trading Scheme
- SEC Divisions of Investment Management and Corporation Finance Issue Staff Guidance Supporting Retirement Plans for Small Businesses
- SEC Proposes Amendments to Permit Optional Semiannual Reporting by Public Companies
- Deputy Director of Enforcement Jason Burt to Conclude His Tenure at the SEC
- SEC and CFTC Jointly Propose Amendments to Reduce Private Fund Reporting Burdens
- Chairman Atkins Launches 'Material Matters' Podcast
- SEC Small Business Advisory Committee to Explore Ways to Encourage More IPOs
FirstMark News & Expert Insights
- The FINRA CMA – A Comprehensive Guide
- FINRA Application Process: Buy or Apply
- Exchange Act Rule 17a-4 – An Old Rule in a New World
- FINRA Supervisory Controls Testing in the Age of Reg BI: Six Questions That Still Matter
- FINRA Anti-Money Laundering Independent Testing
- Who Must be Fingerprinted at a FINRA Broker-Dealer?
FirstMark Regulatory Solutions, Inc.
150 E. Palmetto Park Road, Ste. 800
Boca Raton, FL 33432
(561) 948-6511
https://firstmarksolutions.com
Boca Raton, FL 33432
(561) 948-6511
https://firstmarksolutions.com

