Series 26: Chapter Six

Taken from our Series 26 Online Guide

Chapter Six

Protecting Customer Accounts

You will recall that as part of their written procedures, member firms must conduct an annual review of their business to test their compliance with securities regulations. The inspection report must assess and document the member’s policies in each of the following five areas:

supervision of supervisory personnel

maintaining books and records

safeguarding customer funds and securities

transmittals of funds

changes of customer account information

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