MyComplianceOffice’s ‘SEC and FINRA 2017 Priorities’ Webinar
Partner
Russell D. Sacks (New York - Financial Institutions Advisory & Financial Regulatory) and counsel
Jennifer D. Morton (New York - Financial Institutions Advisory & Financial Regulatory) participated in a webinar titled “SEC and FINRA 2017 Priorities: A Midyear Update” as part of MyComplianceOffice’s Compliance & Risk Webinar Series.
To view the webinar content, click here.