Integrate easily with any trade order management system for real-time testing
Maintaining compliance with The Investment Advisers Act of 1940 Rule 204A-1, The Investment Company Act of 1940 Rules 17j-1, and FINRA Rules (NASD) 3050 and 3220, among other regulations, is essential to avoid significant penalties and extensive reputational damage.
Our proven OneSumX for Employee Compliance solution automates Code of Ethics compliance for monitoring personal trading, gifts & entertainment and political contributions. With OneSumX for Employee Compliance in place, your firm saves time through reduced manual procedures, increases productivity by freeing up resources, and effectively controls related compliance and operational risks.
Our proven OneSumX for Employee Compliance solution automates Code of Ethics compliance for monitoring personal trading, gifts & entertainment and political contributions. With OneSumX for Employee Compliance in place, your firm saves time through reduced manual procedures, increases productivity by freeing up resources, and effectively controls related compliance and operational risks.
Employee compliance benefits at-a-glance
Streamline Code of Ethics compliance
Customize consolidated dashboard views of insider trading and other codes of ethics risks
Monitor employee gifts and entertainment with online record keeping, streamlined approval workflows, and efficient reporting
Monitor and track employee trading and personal account dealings
Select from various standard and custom certifications
Import electronic broker feeds directly into the systems
Additional features include:
Over 1,000 reporting combinations to choose from, exportable to Excel®, PDF, HTML, and other formats
Multi-tiered approval processing
Global Security Master provided by SIX Financial Information Available as an ASP or Enterprise Hosted solution
OneSumX Employee Compliance components
Anti-bribery Compliance
Meet complex and stringent obligations associated with anti-bribery and corruption laws.
Code of Ethics
Maintain a culture of compliance in accordance with numerous regulatory requirements.
Gifts and Entertainment
Automate tracking and monitoring of all gifts and entertainment received or provided by employees using easy to use, web-based disclosures.
Insider Trading
SEC scrutiny remains vigilant in the wake of the Dodd-Frank Act. We help investment adviser firms avoid insider trading cases.
Personal Account Dealing
Use a proven solution that automates personal trading surveillance in order to comply with stringent regulations such as the Investment Advisers Act of 1940.
Political Contributions
Monitor and track political contribution activity via an automated workflow tool for reporting, review and tracking.
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Streamline Code of Ethics Compliance