• Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants
  • Welcome to SEC Compliance Consultants

Mutual Fund Administrators

SEC Compliance Consultants, Inc. can partner with Administrators to provide expert compliance solutions to fund clients, advisers, and sub-advisers. This allows Administrators the opportunity to add another dimension to the service line by offering premium service capabilities without incurring additional overhead or transferring additional costs to fund clients.

SEC3 offers Investment Adviser and Investment Company services through Administrators, which include, but are not limited to:

  • Annual Compliance Reviews
  • Quarterly Compliance Reviews
  • Risk Assessment and Gap Analysis
  • Compliance Program Design and Implementation
  • Compliance Testing and Analysis
  • Compliance Training
  • Customized Compliance Services

Company News

SEC3 Publishes Guide to SEC Registration of Private Fund Investment Advisers Today, July 21st, 2010, the President signed into law the Dodd-Frank Wall Street Reform and Consumer...

SEC3 Offers Private Fund Registration and Compliance Services Our SEC knowledge and private fund experience is what differentiates us from our competitors. ...

CCO Communique

Sign up for our free bi-weekly newsletter which provides timely insights and valuable compliance tips.