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Google TranslateLanguage: EnglishEnglish Chinese French German Greece Hongkong Italian Japanese Jordan Korean Nederlands Portuguese Russian Spanish Los Angeles, CA USA - TODAY - Friday, September 20, 2024
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Compliance Issues for Investment Bankers
Item No.: 360Taa1c664186d248c7ab5192c1cdfcbc28fff1c80b2dcb42
Product Name: Compliance Issues for Investment Bankers
Brand: 360training.com | UPC: 165731449913481213483379200092fff1c80b2dcb420a8a2b
Condition: New
Price:$25.00 Availability: In Stock
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Category: Financial Services Education > Firm Element

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Compliance Issues for Investment Bankers
Product Description:
This course has been developed to educate principals and administrative staff of investment banking broker/dealers on unique compliance challenges and how to address them before they result in inadvertent rule violations. Rule violations, whether intentional or not, often result in disciplinary action being taken by FINRA against the broker/dealer and its principals and may result in fines or suspensions. 
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