Advanced Regulatory Compliance, Inc. (“ARC”) was founded in 2004 to provide ongoing compliance assistance to registered investment advisers. The explosive growth of the investment advisory business created a need for a firm such as ARC to help investment advisers deal with their ever increasing compliance obligations in a challenging regulatory environment. Fast forward to today, ARC is a national full-service investment advisory compliance firm serving the compliance needs of registered investment advisers across the country. Our firm provides practical solutions to complex compliance issues. ARC’s pro-active approach to assisting RIAs with their ongoing compliance needs helps our clients administer their compliance program and ensure they are audit ready. Our highly skilled professionals provide compliance support to a variety of investment advisory firms; from start-ups to multi-billion dollar practices. ARC is backed by its association with the Law Offices of Patrick J. Burns, Jr., P.C., a securities, corporate and employment law firm dedicated to assisting breakaway brokers.
Industry
Business Consulting and Services, Financial Services
HQ Location
8383 Wilshire Blvd
Suite 950
Beverly Hills, California 90211, US
Keywords
• State & SEC Audit Response• Mock Audits• Customized Compliance Program• ADV Filings & Services• State or SEC Registrations & Conversions• Investment Advisor Onboarding & Registratio• EDGAR Filings• Quarterly Compliance Calls• Creation of Policies & Procedures• Compliance Manual Creation or Revisions