Webinar: FINRA Membership & Information Session for Proprietary Trading Firms
FINRA staff provide an overview of SEC Rule 15b9-1, the application process, licensing and reporting requirements, and surveillance and oversight post-application approval for firms affected by the adopted amendments.
FINRA Speakers:
- Stephanie Dumont, Executive Vice President, Office of Market Regulation and Transparency Services
- Greg Ruppert, Executive Vice President, Office of Member Supervision
- Cindy Foster, Vice President, Membership Application Program (MAP)
- Jante Turner, Senior Advisor & Head of MAP Triage
- Racquel Russell, Senior Vice President & Director of Capital Markets, Office of General Counsel
- Lucy Palmieri, Senior Director, Office of Risk Monitoring
- Alexandra Toton, Senior Director, Office of Credentialing, Registration, Education and Disclosure (CRED)
- Patricia Casimates, Vice President, Market Regulation Transparency Services
- Dave Chapman, Vice President, Surveillance and Market Intelligence
Resources:
- SEC Rule Exemption for Certain Exchange Members
- Regulatory Notice 23-16 – FINRA Adopts TAF Exemption for Proprietary Trading Firms
- Regulatory Notice 23-19 – FINRA Adopts a Short-Form Membership Application Process for Certain Firms That Must Become FINRA Members due to Amended SEA Rule 15b9-1
- Member Regulatory Fees
- FINRA Rule 1210. Registration Requirements
- FINRA Rule 1220. Registration Categories
- Broker-Dealer Registration Key Topic Page
- Membership Application Program (MAP) Tools
- FINRA Home Page
- Member Firm Hub
- Email Subscription Service
- MAP Inquires – (212) 858-4000
- General Inquires – FINRA Support Center (800) 321-6273