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Fidelity Manager Challenges “Misleading” U5 Disclosure Over System Credential Sharing
As the financial regulatory landscape continues to shift, dual registration has become a critical—and often complex—reality for many advisors. We are proud to share this featured session from the Financial Educator Network (FEN), where AdvisorLaw’s own Michelle Atlas-Quinn, J.D., dives deep into the regulatory, operational, and legal nuances of being a dually registered Investment Adviser Representative (IAR).
Why This Session Matters
- Expert Insight: Led by Michelle Atlas-Quinn, J.D., a specialist in navigating the "labyrinth" of compliance.
- High Impact: This session received a 90% Excellent Rating from live attendees.
- Earn Credits: This replay is eligible for:
- 2 IAR CE Credits (Ethics)
- 2 CFP® Credits (Professional Conduct)
What You’ll Learn
This comprehensive deep dive is designed to provide clarity on the overlapping jurisdictions of the SEC and state authorities. The session covers:
- The Regulatory Framework: A historical look at how dual registration evolved and the specific mandates you must follow today.
- Compliance & Fiduciary Duty: Navigating reporting requirements and the essential management of conflicts of interest.
- Operational Excellence: The technological infrastructure and data management strategies required to remain compliant without slowing down your firm.
- Legal Safeguards: Best practices for documentation and dispute resolution strategies unique to the dual registration context.
Watch the Replay
Ready to master the intricacies of dual registration and earn your CE credits? Watch the full session below.
