• EP #10: Elder Fraud Prevention: Why Every Financial Account Needs a Trusted Contact
    2025/04/29

    Ever wondered who's looking out for your finances when you can't? In this eye-opening episode, we dive deep into the world of trusted contacts - the unsung heroes of financial protection that every investor should know about.

    The trusted contact serves as a crucial safeguard against exploitation, particularly for vulnerable populations. Unlike beneficiaries or those with power of attorney, trusted contacts are specifically designated individuals your financial advisor can reach out to when they notice red flags of potential elder abuse, fraud, or diminished capacity. They're essentially an emergency contact for your money, providing an objective perspective when concerning patterns emerge.

    We explore why FINRA (Financial Industry Regulatory Authority) has placed growing emphasis on trusted contacts as our population ages, and why simply including a field on an application isn't enough - advisors must actively explain their purpose and document client responses. Through shocking real-world examples, we illustrate how romance scams, technology exploitation, and even in-person coaching schemes have targeted unsuspecting investors. In one particularly troubling case, an elderly client visited her longtime financial advisor with someone who had no legitimate connection to her account, using subtle foot signals to coach responses.

    What makes trusted contacts uniquely powerful is that they represent one of the few instances where firms can actually delay sending client funds when fraud is suspected. Whether you're an investor wanting to protect your assets or a financial professional seeking to strengthen compliance protocols, this episode provides essential insights on implementing this critical layer of protection. Remember - the wrong time to add a trusted contact is when you need one.

    Ready to safeguard your financial future? Take action today by designating a trusted contact on all your investment accounts. This simple step could be the difference between security and vulnerability when it matters most.

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    32 分
  • EP #9: Navigating Financial Waters - FINRA's Role in Investor Protection
    2025/03/13

    Ready to safeguard your financial future? Kevin Rowe pulls back the curtain on FINRA—the Financial Industry Regulatory Authority—and reveals critical insights every investor needs to know before trusting someone with their money.

    The financial landscape has never been more complex or dangerous. Market volatility, increasingly sophisticated investment products, and innovative fraud schemes threaten your hard-earned assets. Fortunately, FINRA provides powerful protections and resources, including BrokerCheck, a free tool that exposes disciplinary actions and customer complaints against financial professionals.

    Confused about the difference between investment advisors and broker-dealers? You're not alone. Kevin clarifies these crucial distinctions, explaining how investment advisors typically provide holistic financial planning with continuous fiduciary responsibility, while broker-dealers focus on facilitating specific transactions. Understanding these differences—and the varying standards of care they must provide—could save you from disastrous financial decisions.

    Fee structures represent another potential minefield. From asset-based management fees to transaction commissions and trail fees, Kevin demystifies how financial professionals get paid and highlights potential conflicts of interest. He provides practical advice for conducting due diligence: "Investing isn't something you should be doing with your mortgage money," Rowe cautions, while emphasizing the importance of understanding your risk tolerance and financial goals.

    Whether you're a seasoned investor or just starting your financial journey, this episode delivers essential knowledge to protect your assets and secure your future. Check your financial professional's background today using the resources mentioned in this episode, and make sure your money is in trustworthy hands.

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    32 分
  • Ep #8: Navigating Financial Compliance & Cybersecurity
    2025/02/17

    Unlock the secrets of financial compliance and cybersecurity as Shivan Swarath and Shane Jordan share their wealth of experience in these critical areas. Discover how AI is both a formidable tool and a potential threat in today's financial landscape. We'll explore major cybersecurity threats, from phishing to ransomware, and discuss how firms are countering these with innovative technologies and strategies like callback policies. Plus, get insight into FINRA's position on generative AI and its impact on industry practices.

    Find out how businesses are tackling the pervasive issue of elderly fraud and the ever-evolving challenges of anti-money laundering regulations. Through compelling anecdotes, we highlight the personal impact of scams targeting the elderly and the significant role AI plays in detecting suspicious activities. Delve into the regulatory landscape shaped by FINRA and the SEC, and learn about the essential procedures and red flags that can shield your firm from compliance pitfalls.

    Vendor due diligence and remote work data security are more vital than ever, and we address these concerns with actionable strategies. Learn about the importance of thorough vendor vetting and ongoing compliance checks to ensure you're partnering with reliable entities. As remote work becomes the standard, we'll guide you through essential practices for safeguarding sensitive data with advanced storage solutions and robust password protocols. Engage with us on social media for continuous updates and insights into the fast-paced world of compliance and cybersecurity.

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    46 分
  • EP #7: Hacks for Mastering Compliance
    2024/11/18

    Unlock the secrets to mastering regulatory compliance with Kevin Rowe and Jeremy Wolf on the Compliance Network Podcast. Struggling to keep up with ever-changing regulations? Discover practical hacks that streamline your compliance processes, starting with the power of templates. Kevin emphasizes the need for templates that are both comprehensive and regularly updated, ensuring they meet the latest regulatory requirements. Learn how including rule references, frequencies, and signatures can demonstrate your adherence to compliance standards with ease and precision.

    Stay ahead of the game by effectively managing compliance deadlines with strategic reminders. Jeremy sheds light on how tools as simple as Microsoft Outlook and Google Calendar can be game-changers in organizing your compliance priorities. As compliance professionals often face unexpected challenges and regulatory inquiries, understanding how to prioritize deadlines is crucial. The episode further explores organizing documents by risk priority, illustrating how this strategic approach can enhance your compliance efforts. Tune in for actionable insights and expert tips that simplify the complex compliance landscape, making it more navigable and less daunting.

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    9 分
  • EP #6: Rethinking the Role of Compliance in Business
    2024/11/04

    Is compliance just a tedious stack of paperwork? Think again. Join us on the Compliance.Network Podcast as we debunk this myth and reveal how compliance can be a strategic powerhouse for your business. Hosts Jeremy Wolf and Kevin Rowe take you on a journey through the essential role of compliance in financial services, explaining why it’s about much more than ticking boxes. From understanding the nuances of client risks to mastering the art of anti-money laundering (AML) systems, we promise you'll walk away with insights that could shift your perception of compliance from being a mere obligation to a vital investment for business sustainability.

    Explore how leaders can set the tone for a compliance-centric culture, transforming it into a strategic strength. We highlight the importance of integrating compliance into business plans from the outset, focusing on the use of technology and AI to enhance practices. Learn about the consequences of neglecting compliance and how proactive measures can protect your reputation and bottom line. As we look to the future, discover the rising expectations tied to technological advancements and why staying ahead of the curve is crucial. Tune in for practical advice, expert insights, and a fresh perspective on ensuring your firm is ready for the challenges ahead.

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    27 分
  • Ep #5: Managing Conflicts and Ethics
    2024/10/17

    Ethics in the financial services industry aren't just about following the rules—it's about fostering trust and integrity. Join us as we unravel the complexities of ethical compliance on the Compliance Network podcast. We tackle the nuanced responsibilities of investment advisors and broker-dealers, highlighting the crucial need for transparency and avoidance of conflicts of interest. Our conversation brings to light how these professionals must go beyond mere rule-following, prioritizing their clients' interests and maintaining the integrity that sustains long-term client relationships.

    Jeremy and I dive into the intricacies of identifying and managing conflicts of interest, a pivotal aspect of ethical compliance. From inherent conflicts in advisory roles to those arising from external affiliations, we provide insights on proactive supervision and comprehensive firm policies as key strategies for mitigation. Learn how financial professionals can navigate these challenges to safeguard both their practice and client trust. This episode is an essential listen for anyone in the financial services sector aiming to enhance their ethical decision-making and compliance strategies.

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    12 分
  • EP #3: Innovative AML Solutions for 2024
    2024/09/05

    Can tightening your anti-money laundering (AML) measures really save your business from catastrophic risks in 2024? Tune in to our latest episode of the Compliance Network podcast as Kevin Rowe and Jeremy Wolf, dive headfirst into the upcoming AML reforms set to revolutionize the financial services industry. With our newly minted AML Red Flags division, launched in January 2023, we’re arming you with the tools and insights to navigate the complexities of modern money laundering schemes. Our team, led by a former bank vice president, is dedicated to staying one step ahead, offering you cutting-edge strategies to fortify your defenses.

    You'll discover the crucial role that Know Your Customer (KYC) protocols play in identifying suspicious activities and hear firsthand about the real-world challenges firms face in maintaining effective AML programs. We also unravel the lessons from a notable Wells Fargo Advisors case, offering practical insights for compliance professionals. This episode isn’t just about compliance—it's about safeguarding the entire financial ecosystem, including retail investors. Don't miss out on essential strategies to enhance your AML efforts as we gear up for 2024.

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    11 分