General Securities Principal
The Series 24 exam qualifies individuals to supervise and manage a broker-dealer's securities business. As a General Securities Principal, you will be responsible for overseeing all aspects of a firm's operations including registration, compliance, financial responsibility, trading, underwriting, and customer account supervision. The Series 24 is required for anyone who will manage or direct any of the firm's business activities that require registration, and is one of the most comprehensive principal-level examinations administered by FINRA.
Chapters
Broker-Dealer Registration
BD and branch office registration, CRD filing, FINRA membership application process
Personnel Management
Associated person registration, qualifications, continuing education requirements
Compliance Systems
Written supervisory procedures, compliance programs, supervisory structure, exception reports
Financial Responsibility
Net capital rule, customer protection rule, financial reporting, FOCUS reports
Business Continuity Planning
BCP requirements, disaster recovery, cybersecurity obligations, FINRA rules
Customer Account Supervision
Suitability review, margin supervision, complaints handling, senior investor protections
Communications & Advertising
Retail and institutional communications, approval process, FINRA filing requirements
Trading Supervision
Best execution, Reg NMS, Reg SHO, market making, order handling obligations
Investment Banking Supervision
Underwriting process, research analyst conflicts, new issues distribution rules
AML Compliance
Anti-money laundering programs, SAR filing, CIP requirements, OFAC, suspicious activity