Infographic

The Three Types of Audits an RIA Firm Should Know About

Mar 08, 2022

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The Securities and Exchange Commission (“SEC”) and state regulators can audit your registered investment adviser (“RIA”) firm at any time, for any reason, announced or unannounced. These examination programs play a critical role in ensuring a culture of compliance with the rules and regulations of the RIA industry.

To help RIAs understand the difference between possible compliance examinations, we created a detailed infographic outlining the three most common types of audits that an RIA firm can undergo.

The types of audits outlined on the infographic are:

  • Routine Inspections.
  • For Cause Inspections.
  • Sweep Examinations.

Contact us if you any questions about our compliance software.

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