TRAINING AND EDUCATION

Continuing Education Requirements
Certain Registered Persons of FINRA member firms are subject to
continuing education training subsequent to their initial
qualification and registration, pursuant to Rule 1120. Training
requirements consist of a Regulatory Element and a Firm Element,
which includes an Annual Compliance Meeting.
The regulatory requirement is administered by FINRA and
subject to established time requirements; whereas, the Firm
Element is a firm obligation that must be specifically designed
to align with the unique nature of the firm in order to enhance
a registered person’s securities knowledge, skill, and
professionalism.
Pursuant to Conduct Rule 3010, all FINRA members are required to
conduct an annual compliance meeting with their Registered Representatives and
Registered Principals. Taurus Compliance Consulting’s professionals will aid in the administration of
your Annual Compliance meeting at your home office or through
remote technology. Annual compliance meetings will be tailored
to appropriately address your firm’s products and services.
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 design and administer
training to satisfy the requirements of FINRA Rule 1120. Our
services include but are not limited to:
- Firm Assessment (Clientele & Products)
- Identification of Training Needs
- Training Plan Development
- Incorporation of the Written Supervisory Procedures
- On-line Delivery Options
- On-site Presentation
- Training Materials
- Attendance Tracking
- Ongoing Resource
- Interactive Format with Q&A Session
- Tracking and Reminders
For more information on how Taurus can partner with you, call us
on 1-800-388-8822.





