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04-22-16

New Deferred Compensation Rules Proposed

The National Credit Union Administration (NCUA) released a new proposal Thursday aimed at meeting the incentive compensation requirements under the Dodd-Frank Act of 2010. The proposal, which was initially presented in 2011, seeks to lengthen deferred bonus compensation requirements and strengthen clawback provisions found in many large financial firms.

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04-15-16

The Impact of Occupational Fraud on Victim Organizations

Last week the Association of Certified Fraud Examiners ("ACFE") issued its 2016 Report to the Nations on Occupational Fraud and Abuse ("Global Fraud Study"). In the Global Fraud Study, the ACFE analyzed 2,410 cases reported by Certified Fraud Examiners from January 2014 through October 2015 covering 114 countries and over $6.3 billion in losses.

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04-01-16

FINRA Requires Client Education

This week, the SEC approved a proposed FINRA rule change that will require educational materials to be supplied to investors who are considering transferring their accounts in order to follow their representative as he/she switches from one member firm to another.

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03-25-16

DOL Fiduciary Rule Near

We may be as little as ten days away from the final form of the controversial fiduciary standard rule from the Department of Labor (DOL).

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Which Regulator Issues the Most AML Enforcement Actions?

03-24-16

Which Regulator Issues the Most AML Enforcement Actions?

It seems like every week there is a new, record-breaking Anti-Money Laundering (“AML”) violation penalty issued by one regulator or another. RegTelligence®-your comprehensive source for regulatory intelligence - goes beyond the headlines and provides analytics on all AML-related enforcement actions involving financial services firms. 

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03-11-16

Broker Barred in Senior Investor Case

FINRA listed "senior and vulnerable investors" as a focus in its 2016 priority letter, as we blogged about previously, and the conclusion of a recent enforcement action supports the agency's focus in this area.

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03-04-16

Bond Markup/Markdown Disclosure

Last Friday FINRA announced that it had approved a proposal to require the disclosure of bond markups and markdowns for retail fixed income investors.

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02-19-16

The Long Tail of the Credit Crisis

In a new blog post, the Federal Reserve Bank of New York considers whether or not asset managers are vulnerable to ”run on the bank” scenarios and, more broadly, what the implications of those ”runs” might be for financial markets. The concern is that while open-end mutual funds may be holding sufficient levels of cash to meet the normal demand for daily redemptions, a sudden (or sustained) wave of redemptions may force them to liquidate holdings, perhaps at undesirable “fire sale” prices.

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02-12-16

Q&A with SEC Chair White

This Monday's SEC Daily Digest Bulletin included a transcript of a Q&A session between SEC  Chair Mary Jo White and Steven Bochner, Chair of the Securities Regulation Institute.

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01-29-16

FINRA Examines Robo Advisors

We have blogged previously about the rise of automated investing advice as a service offering, and about the joint release that FINRA and the SEC put out regarding how to use these automated tools. 

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