Effective Practices in Remote Supervision and Inspections

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About This Course

This CLE course explores the legal and regulatory challenges emerging from the shift toward hybrid and remote work in the financial services industry. With updates to FINRA’s supervision rules enabling Remote Supervisory Locations (RSLs) and the Remote Inspection Pilot Program (RIPP), attorneys advising broker-dealers and compliance teams must understand the evolving expectations and associated legal risks.

Participants will hear directly from FINRA staff and member firms about how the supervision framework is adapting, the implications for inspections and oversight, and how firms of various sizes are implementing these changes. The session also reviews data from RIPP participants and discusses effective practices, compliance hurdles, and FINRA’s broader regulatory modernization efforts.

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