NexGen Capital Consultants

phone 312.845.9055

Vision, Commitment, Integrity, Teamwork and Experience

Case Studies

National Broker Dealer

Case Study:  National Broker Dealer Company

  • Situation:  Broker dealer was required to properly implement compliance and supervisory procedures as well as internal control systems to effectively operate and be compliant with the Financial Industry Regulatory Association (FINRA) and the Securities and Exchange Commission (SEC).
  • Approach:  Developed and implemented supervisory systems for nearly 500 independent registered representatives.
  • Result:  No major deficiencies in supervisory controls and systems performed by FINRA and the SEC were revealed.

All securities are offered through NexGen Capital Advisors, LLC, a broker/dealer and member of FINRA and SIPC, operating under the Securities Act of 1933.  NexGen Capital Investors, LLC is registered as an investment adviser operating under the Investment Advisers Act of 1940 and under the regulations and rules promulgated by the State of Illinois.

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