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1558 Enforcement Actions in the U.S. over past 30 days

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FTC enforcements decreased 55% over the past 30 days

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SEC issued enforcements: $37,812,859 over the past 30 days

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50 Final Rules go into effect in the next 7 days

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49 Mortgage Lending docs published in the last 7 days

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1670 docs with extracted obligations from the last 7 days

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new Proposed and Final Rules were published in the past 7 days

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11906 new docs in pro.compliance.ai within the last 7 days

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Enforcement Report Jan 02 - 08

FTC

Penalties: N/A
Respondent: TAPJOY, INC
Violation: The Commission considered the matter and determined that it had reason to believe that Respondents have violated the said Acts, and that a complaint should issue stating its charges in that respect… Read More

Penalties: N/A
Respondent: Altria Group, Inc. and JUUL Labs, Inc
Violation: Pursuant to 16 C.F.R. § 4.1(d), I state that I am eligible to practice before the Commission as a member of the Bar of the District of Columbia (Bar No. 987096)… Read More

Penalties: N/A
Respondent: The Procter & Gamble Company; Billie, Inc.,
Violation: Complaint Counsel and Respondents The Procter & Gamble Company (“P&G”) and Billie, Inc. (“Billie”) jointly move to dismiss the complaint in the above-captioned matter… Read More

Penalties: N/A
Respondent: CoStar Group Inc.
Violation: This matter comes before the Commission on Complaint Counsel and Respondents’ Joint Motion to Dismiss Complaint… Read More

TREAS

Penalties: N/A
Respondent: Union de Banques Arabes et Françaises
Violation: In particular, the majority of the Apparent Violations involved UBAF’s processing of internal transfers on behalf of Syrian entities that were followed by corresponding funds transfers through a U.S. bank… Read More

FINRA

15 Enforcement Documents

$415,000.00 in Fines

Penalties: N/A
Respondent: Dakota Securities International, Inc. Bruce Zipper
Violation: Zipper continued to engage in Dakota’s securities business while suspended and statutorily disqualified from associating with a FINRA member firm… Read More

Penalties: N/A
Respondent: Andrew Robert Dougherty
Violation: Dougherty violated FINRA Rule 2010 when he altered a mutual fund switch disclosure form after it had been signed by the customer, and fabricated an email from the customer in an attempt to conceal his falsification of the form… Read More

Penalties: N/A
Respondent: Antonio Almeida
Violation: Almeida willfully failed to timely amend his Uniform Application for Securities Industry Registration or Transfer (Form U4) to disclose that he had been charged with a felony, in violation of Article V, Section 2(c) of FINRA’s By-Laws and FINRA Rules 1122 and 2010…. Read More

Penalties: $10,000.00
Respondent: Timothy Ryan Deegan
Violation: From July 2018 to April 2019, Deegan submitted nine expense reimbursement requests to the firm, totaling $1,276.23, for business meals that he knew were not compliant with the firm’s expense reimbursement policies… Read More

Penalties: $10,000.00
Respondent: Donald Robert Pollard
Violation: During a routine examination of CBC Securities, Pollard created backdated documents, which he then submitted to FINRA. He thereby violated FINRA Rule 2010… Read More

Penalties: $5,000.00
Respondent: Linn Christopher Shoesmith
Violation: In 2016, Shoesmith borrowed $50,000 from his irm customer without providing notice to or obtaining written pre-approval from the irm, in violation of FINRA Rules 3240 and 2010… Read More

Penalties: $5,000.00
Respondent: Terry Tzagarakis
Violation: Between approximately March 2016 to March 2019, while associated with Spartan Capital, respondent Terry Tzagarakis willfully failed to timely amend his Form U4 to disclose two outstanding federal tax liens, totaling $112,899.35, and one outstanding New York State tax lien for $59,010.91… Read More

Penalties: $5,000.00
Respondent: John Frederick Griner
Violation: From May 2017 through September 2019, Griner exercised discretion without written authorization in four customer accounts, in violation of NASD Rule 2510(b) and FINRA Rules 3260(b) and 2010… Read More

Penalties: N/A
Respondent: Dustin Paul Shafer
Violation: Shafer refused to appear for on-the-record testimony that was requested pursuant to FINRA Rule 8210, in violation of FINRA Rules 8210 and 2010… Read More

Penalties: N/A
Respondent: Sharon Kay Snow
Violation: In November 2020, Snow refused to respond to an information request issued pursuant to FINRA Rule 8210, thereby violating FINRA Rules 8210 and 2010… Read More

Penalties: $350,000.00
Respondent: VALIC Financial Advisors, Inc
Violation: From January 1, 2017 through October 31, 2018, VFA failed to establish a reasonably designed system and written supervisory procedures for the surveillance of rates of VA exchanges and for corrective action in the case of inappropriate exchanges, in violation of FINRA Rules 2330(d), 3110, and 2010… Read More

Penalties: $10,000.00
Respondent: Timothy Joseph
Violation: In September 2019, Joseph electronically affixed nine customer signatures to Individual Retirement Account distribution forms, ACH authorization agreements and advisory account opening documents that he submitted to the Firm. By engaging in this conduct, Joseph violated FINRA Rule 2010… Read More

Penalties: $10,000.00
Respondent: Angel Wynette Bardeche
Violation: From January 2017 to March 2019, Respondent recommended and effected an unsuitable strategy in recommending that her customers effect a pattern of switching of Class A mutual fund shares, including short-term liquidations, in violation of FINRA Rules 2111(a) and 2010… Read More

Penalties: $10,000.00
Respondent: James R. Hedges IV
Violation: From February 2014 to September 2020, Hedges willfully failed to disclose nearly $6 million of judgments, liens, and compromises with creditors on the Uniform Application for Securities Industry Registration or Transfer (Form U4), in violation of Article V, Section 2(c) of FINRA’s By-Laws and FINRA Rules 1122 and 2010… Read More

SEC

10 Enforcement Documents

$79,947,040.00 in Fines

Penalties: $385,833.50
Respondent: THOMAS ROSE, DAVID LEEMAN, and DAVID FEATHERSTONE
Violation: The time for filing a petition for review of the initial decision in this proceeding hasexpired. No such petition has been filed by Thomas Rose, David Leeman, David Featherstone, or the Division of Enforcement, and the Commission has not chosen to review the decision on its own initiative… Read More

Penalties: $79,561,206.00
Respondent: DEUTSCHE BANK AG
Violation: Deutsche Bank lacked sufficient internal accounting controls related to the use and payment of BDCs during this time period, resulting in payments to BDCs that were actually bribe payments as well as payments made for unknown, undocumented or unauthorized services… Read More

Penalties: N/A
Respondent: SCOTT W. BEYNON
Violation: Any reapplication for association by the Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of any or all of the following… Read More

Penalties: N/A
Respondent: JORDAN S. NELSON
Violation: Any reapplication for association by the Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of any or all of the following… Read More

Penalties: N/A
Respondent: MICHELLE MORTON,
Violation: Morton was engaged in the business of managing client assets, including advising clients as to the prudence of investing in certain registered and unregistered securities, and received compensation for those services… Read More

Penalties: N/A
Respondent: Trans-Pacific Aerospace Company, Inc. and Vertical Computer Systems, Inc.,
Violation: VCSY (CIK No. 1099509) is a Delaware corporation located in Richardson, Texas with a class of securities registered with the Commission under Exchange Act Section 12(g)… Read More

Penalties: N/A
Respondent: BARRY F. CONNELL
Violation: Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of any or all of the following… Read More

Penalties: N/A
Respondent: CHRISTOPHER J. ASHBY
Violation: Respondent will be subject to the applicable laws and regulations governing the reentry process, and reentry may be conditioned upon a number of factors, including, but not limited to, compliance with the Commission’s order and payment of anyvor all of the following… Read More

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