Le Lézard
Subjects: Product/Service, Podcast

FINRA Publishes 2024 Regulatory Oversight Report


FINRA published today its 2024 FINRA Annual Regulatory Oversight Report, formerly known as the Report on FINRA's Examination and Risk Monitoring Program. The report provides member firms with key insights and observations from recent activities of FINRA's regulatory operations to use in strengthening their compliance programs.

"The report's findings from across FINRA's Member Supervision, Market Regulation and Enforcement programs can serve as a valuable resource for member firms," said Greg Ruppert, Executive Vice President, Member Supervision at FINRA. "As our industry evolves, so do the compliance challenges faced by firms, which is why the report is so critical. Some of the topics covered will be familiar from past reports, updated for 2024, while others are new and represent emerging risks and evolving trends that are of growing importance as we look ahead."

New Topics Covered in the Report Include:

Other Topics Include:

For each of the 26 topics covered, the report identifies the relevant rule(s) involved, highlights key considerations for firms' compliance programs, summarizes noteworthy findings or observations from recent oversight activities, outlines effective practices that FINRA observed and provides additional resources that may be helpful to firms in reviewing their supervisory procedures and controls and fulfilling their compliance obligations.

A podcast about the report?featuring Ornella Bergeron, Senior Vice President, Member Supervision; Omer Meisel, Executive Vice President, Head of National Cause and Financial Crimes Detection Program; Michael Solomon, Senior Vice President, Examinations; and Claire O'Sullivan, Vice President, Regulatory Advisor and Stakeholder Engagement?is available on FINRA's website. In addition, the subjects covered in the report will be featured in other FINRA-related compliance and education resources released throughout the year, including at the 2024 FINRA Annual Conference taking place May 14-16, 2024, in Washington, D.C.

About FINRA

FINRA is a not-for-profit organization dedicated to investor protection and market integrity. It regulates one critical part of the securities industry?brokerage firms doing business with the public in the U.S. FINRA, overseen by the SEC, writes rules, examines for and enforces compliance with FINRA rules and federal securities laws, registers broker-dealer personnel and offers them education and training, and informs the investing public. In addition, FINRA provides surveillance and other regulatory services for equities and options markets, as well as trade reporting and other industry utilities. FINRA also administers a dispute resolution forum for investors and brokerage firms and their registered employees. For more information, visit www.finra.org.



News published on and distributed by: