Compliance Tools

Compliance Tools

Our compliance tools come in many forms, including templates, checklists and directories. These optional tools may assist member firms with:

Using these tools does not guarantee compliance with, or create any safe harbor with, respect to FINRA rules, the federal securities laws or state laws, or other applicable federal or state regulatory requirements. These tools do not create any new legal or regulatory obligations for firms or other entities.

Collections of FINRA Resources

FINRA periodically reviews and updates these tools. FINRA reminds member firms to stay apprised of new or amended laws, rules and regulations, and update their WSPs and compliance programs on an ongoing basis, including by leveraging the following resources:

WSP Checklists

Review these WSP Checklists to evaluate your firm’s compliance program across all relevant regulatory obligations for broker-dealers, Capital Acquisition Brokers (CABs) and Funding Portal (FPs).

Firm Operations Tools

Cybersecurity

Anti-Money Laundering and Financial Crime

Restricted Firms

Other Tools

Communications and Sales Tools

Breakpoints

Other Tools

Market Integrity Tools

FINRA CAT LLC Resources
If you have questions on the CAT registration or onboarding, please refer to FINRA CAT’s FAQ or contact the FINRA CAT Helpdesk at: (888) 696-3348 or by email.

Report Center
This resource provides firms with secure access to data and reports that help firms detect potential compliance problems.

Compliance Calendar
Review the calendar for upcoming deadlines and events.

FINRA News and Notifications

Weekly Update Email Archive
Review past versions of the FINRA Weekly Update and check out our other email subscriptions, including notifications of regulatory information and updates, including new speeches, news releases, announcements and publications.

Regulatory News Feed and Email Subscription Services
Review and subscribe to all relevant news feed and email subscriptions for FINRA, SEC and other regulators.

Industry and Other External Resources

Peer-2-Peer Compliance Library
This resource shares compliance tools developed by FINRA-registered firms.

Questions about Compliance Tools

FINRA provides compliance resources to member firms. Contact FINRA Support Center at (301) 590-6500 or by email.

Requests for Interpretive Guidance

FINRA's Office of General Counsel (OGC) staff provides broker-dealers, attorneys, registered representatives, investors and other interested parties with interpretative guidance relating to FINRA’s rules. Please see Interpreting the Rules for more information.