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Registrant Regulation & Compliance

  • Assist firms and their personnel in attaining and maintaining registered status with Canadian securities regulators and, as applicable, as members of SROs.
  • Assist firms and their personnel in understanding the registration and reporting regimes associated with futures and other derivatives trading and management.
  • Develop, design, review and assess compliance procedures and practices relating to regulatory and internal policy requirements, including derivative usage.
  • Build and test compliance capability, including conducting mock audits and investigations, identifying operational problems and devising appropriate, cost-effective solutions to respond to regulatory developments.
  • Assist registrants which are the subject of a regulatory compliance audit, including training executives and staff in appropriate responses and solutions.
  • Assist with a diverse range of compliance and regulatory matters, such as conflicts of interest and their management, risk management, internal controls, anti-money laundering and anti-terrorist financing, portfolio security valuation, liquidity management, error correction, best execution, trade-matching and soft dollar usage.
  • Assist registrants wishing to use new technologies in offering their services, whether trading, discount trading or digital advice platforms.
  • Work with registrants in understanding the rewards and challenges associated with the rise of cryptocurrencies and the implications of using blockchain technology.
  • Obtain required regulatory relief from regulatory restrictions where necessary to allow you to operate your business as desired.
  • Review and draft client documentation, such as investment management agreements, relationship disclosure, risk and conflicts of interest disclosure, new account opening forms, account agreements and account statements.
  • Review and provide assistance and advice on marketing materials.
  • Prepare and review offering documents and subscription agreements relating to investment funds and other product offerings in Canada, whether offered on an exempt basis under an offering memorandum or under a prospectus.
  • Assist with issues relating to becoming a member of FundSERV Inc.
  • Assist firms and their personnel in attaining and maintaining registered status with Canadian securities regulators and, as applicable, as members of SROs.
  • Assist firms and their personnel in understanding the registration and reporting regimes associated with futures and other derivatives trading and management.
  • Develop, design, review and assess compliance procedures and practices relating to regulatory and internal policy requirements, including derivative usage.
  • Build and test compliance capability, including conducting mock audits and investigations, identifying operational problems and devising appropriate, cost-effective solutions to respond to regulatory developments.
  • Assist registrants which are the subject of a regulatory compliance audit, including training executives and staff in appropriate responses and solutions.
  • Assist with a diverse range of compliance and regulatory matters, such as conflicts of interest and their management, risk management, internal controls, anti-money laundering and anti-terrorist financing, portfolio security valuation, liquidity management, error correction, best execution, trade-matching and soft dollar usage.
  • Assist registrants wishing to use new technologies in offering their services, whether trading, discount trading or digital advice platforms.
  • Work with registrants in understanding the rewards and challenges associated with the rise of cryptocurrencies and the implications of using blockchain technology.
  • Obtain required regulatory relief from regulatory restrictions where necessary to allow you to operate your business as desired.
  • Review and draft client documentation, such as investment management agreements, relationship disclosure, risk and conflicts of interest disclosure, new account opening forms, account agreements and account statements.
  • Review and provide assistance and advice on marketing materials.
  • Prepare and review offering documents and subscription agreements relating to investment funds and other product offerings in Canada, whether offered on an exempt basis under an offering memorandum or under a prospectus.
  • Assist with issues relating to becoming a member of FundSERV Inc.

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