The most advanced Trade Supervision and Account Monitoring platform for Broker Dealers, RIAs, and Bank Trusts.

The compliance officer of the future plays a pivotal role in how financial firms are built, grown, and run

That’s why we empower you with the technology and insights you need to transform your firm.​

Man and Woman

Make ComplianceEdge Your Edge​

transform

Transformative

With changing regulations and market dynamics, compliance is now driving the evolution of Broker Dealers and RIAs. We provide tools and services that empower CCOs to drive meaningful change.

transform

Knowledgeable

Compliance Officers need to be able to act quickly and decisively to mitigate risk. With ComplianceEdge, you access unparalleled depth of data to make the best short and long term decisions for your firm.

transform

Proactive

Post-trade reporting and alerts that need to be reconciled are a thing of the past. ComplianceEdge captures all investment data daily and uses a customized rules engine to deliver valuable insights across the front, middle and back office.

Request Demo

We Address Your Critical Business Needs

Our laser focus on Broker Dealers, RIAs and Bank Trust companies, coupled with a unique depth of mined security data and a highly customizable rules engine, enables us to have the leading product and services in the marketplace today.

Reduce False Positives & Minimize Noise

Challenge

Challenge

Excessive alerts from trade supervision and account monitoring.

Solution

Solution

ComplianceEdge reduces false positives through a rich data model and configurable rules engine, resulting in less time spent researching non-issues.

Remove Regulatory & Reputational Risk

Challenge

Challenge

The Regulatory landscape is evolving at speeds that make it difficult for firms to keep up.

Solution

Solution

ComplianceEdge's features are designed to provide flexibility and efficiency to map to regulatory requirements and prevent fines and reputational risks.

Increase Data Visibility

Challenge

Challenge

Compliance professionals need insights into all investment recommendations across the firm to avoid fines.

Solution

Solution

ComplianceEdge's deep data model and expanding rules engine ensure there are no blind spots across the trading ecosystems.

Unify Accounts To Eliminate Costs

Challenge

Challenge

Fiduciary, Advisory, and Brokerage accounts have different regulators and rules, requiring multiple compliance solutions.

Solution

Solution

ComplianceEdge allows Fiduciary, Advisory, and Brokerage accounts to be on the same compliance platform, reducing both hard and soft costs.

Our Features

transform

Data Management

The depth of investment data and numerous interfaces combined with our approach to data science is the foundation of all the ComplianceEdge Technology.

transform

Trade Supervision

Transactions are surveilled daily to monitor for suitability, conflict of interest, and rep registration to ensure proper investment recommendations.

transform

Trade Blotter

The supervisory professional responsible for reviewing trades can easily identify and sort trades, comment on trades or alerts, and reconcile everything proactively.

transform

Oversight and Reporting

Management screens and reports enable real-time reporting on alerts and reviews.

Changing How Firms Leverage Compliance Technology

transform

Account Monitoring

Monitor positions and account data each day against benchmarks, thresholds, or configurable rules set by the firm.

transform

Client Account Reviews

Advisories and fiduciaries can perform formal reviews to continuously understand client goals to ensure proper recommendations.

transform

Investment Reviews

Ability for Bank Trusts to perform annual Reg 9 reviews for all discretionary and advisory accounts.

transform

Administrative Reviews

Bank Trusts can perform administrative reviews when they act as a fiduciary or trustee.

Who We Serve

transform

Brokers Dealers

As a Broker Dealer, you have been adjusting your business model to meet new FINRA requirements. You need a robust trade supervision platform that enables you to monitor all rep brokerage activity quickly and efficiently.

transform

Dually-Registered/RIAs

As a dually registered firm, there is an RIA side to your business that is regulated by the SEC which has different requirements from FINRA. ComplianceEdge is designed for these needs.

transform

Bank Trusts

ComplianceEdge enables Bank Trusts to comply with OCC requirements for Reg 9 and Administrative Reviews in a scalable and comprehensive manner.

Some of the largest and most reputable firms in the industry are using ComplianceEdge.

Deep knowledge of the investment process and compliance arena have always been our north star. It enables us to deliver unparalleled outcomes for our customers and their clients.