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Posts by aboyd-donaldson

Wealth Management Requires a 360-Degree Compliance Programme
By: aboyd-donaldson | Aug 16, 2022 | Compliance and Fiduciary Monitoring, White Papers
Reference: Journal of Securities Operations & Custody Volume 14 Number 2 Abstract
While the tsunami of regulation following the 2008 financial crisis has receded, compliance for wealth management companies continues to grow more complex. In recognition of the difficulty of meeting evolving standards and obligations, the US Government now offers incentives to companies that adopt technical solutions. RegTech that surfaces issues in a timely manner and holistically across an institution’s book of business is seen as directly correlated with transparency and accountability. It is also good business. Today’s solutions empower companies to streamline account management, reduce risk, lower cost and strengthen client relationships. The author shares best practices and important questions to consider when designing and implementing a 360-degree compliance programme.
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Snowden Lane Partners Selects the ComplianceEdge Trade Surveillance and Account Monitoring Solution from InvestEdge
By: aboyd-donaldson | Jan 26, 2022 | Compliance and Fiduciary Monitoring
PHILADELPHIA, PA—January 26, 2022— Snowden Lane Partners, a hybrid Broker-Dealer and Registered Investment Advisor financial services firm based in New York City, has gone live with the ComplianceEdge Trade Surveillance and Account Monitoring solution from InvestEdge. InvestEdge Inc., is a leading provider of innovative advisor and compliance solutions to over 100 wealth management firms.
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