INDIVIDUAL LICENSING AND REGISTRATIONS

Anyone engaged or to be engaged in the investment
banking or securities business of a member who will function as
a representative shall be registered as such with FINRA, as
appropriate, for the function to be performed, as specified in
Rule 1032.
Registration requires a passing score (70%)
on the appropriate qualification examination administered by
FINRA. All such registered persons are subject to the
supervision of an appropriately registered principal, as
specified in Rule 1022. As with registered persons, principal
registration requires a passing score (70%) on the corresponding
qualification examination administered by FINRA.
Taurus Compliance Consulting, LLC includes an experienced staff
and network of lawyers, accountants and Registered Principals
who can either assist your firm’s compliance officer or serve in
a full capacity on behalf of your firm to identify the
appropriate licensing and registration requirements, pursuant to
the products or services offered. Our services include but are
not limited to:
- Identify the Appropriate Registration Requirements
- Open a FINRA Testing Window
- On-line and Hard-copy Exam Training Materials
- U4 Filings & CRD Updates
- Character and Fitness Hiring Criteria
For more information on how Taurus can partner with you, call us on 1-800-388-8822.
Start-Up Services
If you are considering starting your own broker/dealer, contact our team of experienced professionals for help. Read more ...
- State Registrations
- Individual Licensing and Registrations
- Business Changes/Expansions
(1017 Filing)




