PointBreak Compliance
Information by Research TrustFinance
Point-Break Compliance is a specialized consulting firm dedicated to offering practical and tailored compliance solutions to firms within the financial industry. Founded on the principle of providing high-level expertise, the company assists clients such as broker-dealers, investment advisers, and fund managers with navigating complex regulatory landscapes. Their services include firm registration with regulatory bodies (SEC, FINRA, NFA), development of customized compliance programs, mock regulatory examinations, ongoing compliance support, and AML independent testing. The firm aims to act as a strategic partner, helping clients manage regulatory risk and maintain compliance with industry standards.
United States
Industry
- Legal ServicePRIMARY
- Other Service
Financial