This informative video provides Registered Investment Advisers (RIAs) with professional advice on navigating the complex landscape of cybersecurity compliance.
In this webinar, we explore how SEC Rule 206(4)-9 is not just a regulatory hurdle, but an opportunity to strengthen your firm’s cybersecurity practices. We offer clear, concise, and unbiased guidance on overcoming operational challenges, developing effective compliance strategies, and leveraging regulatory requirements to enhance your firm’s cybersecurity standing.
This video is more than a guide to SEC cybersecurity compliance – it’s about transforming regulatory obligations into strategic advantages. By staying informed and compliant, your firm can stay ahead in the face of cyber threats.
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