rule_3130LeafLevel 2
Rule 3130 - Annual Certification of Compliance
FINRA Rule 3130 mandates that every broker-dealer submit an annual certification confirming that its operations and supervisory systems are in full compliance with all applicable FINRA rules and regulations, including those governing trade reporting, communications and market conduct. The certification must be signed by a senior officer and is subject to review and possible audit by FINRA staff.
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