Home | October 2010News | Quest CE Launches Compliance Training for Investment Advisers |
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Quest CE Launches Compliance Training for Investment Advisers
- Quest CE Launches Compliance Training for Investment Advisers
- October 27, 2010
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Quest CE now offers a series of products suitable for Investment Adviser Compliance Training. This new suite of products covers Suitability, Anti-Money Laundering Training, Political Contributions Tracking and additional regulations that Investment Advisers are required to adhere to.
Quest Continuing Education Solutions (Quest CE) is proud to announce a new product line-up to meet Investment Adviser's Compliance Training Needs. Since 1986 Quest CE has built a reputation of being the premier provider of Compliance Education Training to the financial services industry including insurance professionals and FINRA regulated Broker/Dealers. Quest is now able to address the regulations and requirements that face the Investment Adviser world.
Quest CE's comprehensive Investment ...
- View more at: http://www.1888pressrelease.com/quest-ce-launches-compliance-training-for-investment-adviser-pr-252106.html
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