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How to Have a Successful SEC Exam Experience

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Preparing for regulatory examinations is a daunting prospect. If you haven’t set up the policies and procedures to ensure you can handle such an exam at the drop of a hat, it becomes more than just daunting: it turns into a nightmare.

If you’ve never experienced an SEC exam, it’s hard to know what to expect. Your team may only have a few employees who’ve dealt with a regulatory exam before this, and even then, they may not know what it’ll entail for your business.

How can you prepare for the exam and ensure you don’t fail due to a technicality?

That’s where the assistance of an experienced legal team can be a massive help.

What to Expect – Initial Document Request List

While generally, the SEC will provide you with an initial document request list prior to coming onsite for an exam, there isn’t always advance notice that you’ll be the subject of an exam. If you do receive an initial document request list, you will be given approximately one to two weeks to produce the requested books and records. If you didn’t receive advance notice, you will still be given a reasonable amount of time (usually 24 – 48 hours) to provide all requested information. That may include, but isn’t limited to, the following:

  • A copy of your compliance policies and procedures, as well as details about your risk assessment program
  • Your cybersecurity and business continuity plan
  • A copy of your most recent financial statements
  • Organizational diagram of adviser and affiliates, detailing ownership, control relationships, and any changes in ownership

You’ll need to provide these documents, and others, promptly. More often than not, the examination period covers a span of approximately two years, so you will be requested to produce documents in place during that entire period. If your business continuity plan has changed during the exam period, you’ll have to provide both the former and the revised plan.

It’s Essential to Prepare for the Onsite Examination

Often times the SEC will go onsite for a portion of the examination. This allows the staff to gain additional information about your internal business operations. More often than not, the staff will request to interview certain C-Level executives.

You will need to be prepared for: mock interviews, the production of and timely access to all required books and records, along with demonstration of your internal controls.

An SEC examination is an experience that you and your team will not soon forget. More than ever, it is essential to prepare, which is why seeking the help of a law firm specializing in SEC investigations and examinations is a worthwhile investment.

How Long is the Exam Expected to Take?

After the examiners complete their onsite interviews and the onsite document review, they will wrap up remaining criteria back at their offices.

Within 120 days, you’ll hear back either that the exam is complete, or you’ll be provided with an expected completion time.

Depending on the complexity of your business, the exam may only take a few days, or it may take several months to complete. If you adhere strictly to a clearly defined and up to date set of compliance policies and procedures, you’re more likely to have an exam that is processed quickly.

Involving the C-Suite: What your corporate executives need to know

One of the things the SEC examiner will be looking for is a culture of compliance that starts at the very top of your firm.

This means your C-suite, in particular, needs to be extremely knowledgeable of and comfortable with the rules and regulations that apply to your firm. Working with counsel to maintain training and familiarity with your firm’s particular regulatory landscape is essential to passing your SEC exam with flying colors.

Additionally, because each firm has its own specialties and focuses, no two advisory firms are exactly alike. For this reason, you will need to be able to demonstrate a customized compliance program. Customized compliance manuals – not generic templates that don’t apply to your business – are expected. A carefully thought out compliance program is integral to demonstrating a culture of compliance to SEC examiners.

An SEC exam requires much more preparation and much more work than outlined here.

The ability to demonstrate a robust compliance program effectively during your SEC exam requires extensive preparation. You must be able to:

  • Answer their questions appropriately and in full
  • Gather a significant number of documents in a short period of time
  • Showcase your culture of compliance

The best way to prepare is to partner with experienced and knowledgeable attorneys who specialize in your industry – attorneys such as the team at Jacko Law Group, PC.

About the author

Jacko Law Group provides tailored legal services and effective strategies for success, delivering exemplary solutions to complex legal and regulatory challenges to ensure that both business efforts and compliance obligations are satisfied.

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Dharmi is an excellent securities lawyer who understands the law as it pertains to these cases. She is extremely proactive and represents her clients well. I highly recommend Jacko and Dharmi.
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I’ve had the privilege of working closely with this firm in my role as Chief Compliance Officer and I can confidently say they are an exceptional compliance partner. Their depth of experience is immediately evidentand they bring a level of practical knowledge. What I truly enjoy is their ability to translate complex regulatory requirements into plain English, often using real, everyday examples that make implementation far more manageable. They are also incredibly responsive and reliable. In a field where timing matters, their prompt communication and thoughtful guidance have been invaluable. If you’re looking for a compliance attorney who combines expertise, clarity, and professionalism, I highly recommend them.
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Michelle and the team at Jacko Law Group have helped guide through a variety of critical circumstances as we ventured through the uncharted and unfamiliar territory of becoming and successfully operating as an RIA. I have particularly appreciated Michelle's personal involvement and genuine caring about us and our organization. She has been responsive and her counsel has been consistently on-point and helpful. She artfully guided us through our initial filing process and first SEC exam process - which went very well. Very grateful to Michelle and her team.
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Michelle and her team were excellent to work with, front to back. They helped me to understand the challenges ahead and were always proactive in their consultation through every step of my transition. JLG truly know the wealth management industry very well and did a great job of understanding the challenges unique to my business. Without them, I can confidently say I would not have felt as comfortable through the transition as I did. Fortunately, that's not something that stops there - Michelle and her team have kept in touch to ensure that I'm on top of certain administrative issues, trends, and simply showing me that they care about my business and success. I look forward to continuing to work with them for many years to come.
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My mentor once told me that a good attorney is worth their weight in gold — and that couldn't be more true of Michelle and Amanda. Their expertise, professionalism, and responsiveness were top notch every step of the way. It's rare to find legal partners who are not only sharp and thorough, but also genuinely invested in your success. I’m grateful for their guidance and highly recommend them to anyone seeking trusted legal counsel.
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I have worked with Jacko Law Group for 2 different business situations that necessitated an attorney. In both cases, the team was very thorough & competent. Their attention to our situation and the extra effort they put into our case(s) was very much appreciated. I would highly recommend Jacko Law Group!