Avoiding Compliance Headaches The New SEC Rule Changes Will Create For Financial Advisors

Posted by John Prendergast

1 min Read




In This Episode

Ivan Barretto, Founder and Managing Director of RIA Compliance Concepts shares how financial advisors and RIA firms should adapt to the new SEC rules on “Outsourcing By Investment Advisors” and “Cybersecurity Risk Management“. As a former regulator, Ivan explains what to expect should the SEC or a state regulator decide to audit your financial advisory firm.

Resources Mentioned In This Episode

Our Guest


John is the co-founder and CEO of Blueleaf and is an active startup advisor. He is also an experienced entrepreneur and senior executive. As part of 6 founding teams, he has led the product management, marketing, and finance functions. His background in banking and wealth management has shaped the vision for Blueleaf.

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