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About Us

About Us

Our esteemed team is led by Sophia Ohanessian, a seasoned legal expert with over 15 years of experience in financial industry compliance, specializing in SEC, FINRA, and CFTC regulations. Sophia’s extensive background, including roles as Compliance Officer and Wealth Management Compliance Manager, along with her education from Hofstra Law School and New York University, ensures our clients receive top-tier, customized compliance services. Our team excels in providing anticipatory strategies and systematic risk management tailored to the specific needs of FINRA broker-dealers, SEC registered investment advisers, mutual funds, and hedge funds. With a collaborative approach and a commitment to operational success, Sophia's team is dedicated to upholding the integrity and efficiency essential for navigating the evolving financial regulatory landscape.

Why Choose Us?

Choosing Sophia and her team means entrusting your firm's regulatory compliance needs to a group led by formidable industry experts with more than a decade and a half of experience. Sophia's hands-on knowledge of SEC, FINRA, and CFTC guidelines coupled with her practical experience in high-level compliance roles establishes a foundation of trust and competence. Her proactive approach to compliance management anticipates and mitigates potential regulatory issues before they arise, proffering a level of foresight and preparedness that is unparalleled. With her at the helm, Sophia's team is equipped to deliver custom, strategic solutions that are not just compliant, but also conducive to your firm's growth and success in the financial markets. Choosing us means a partnership where integrity, expertise, and relentless pursuit of excellence in compliance are the standard.

  • With leadership that holds over 15 years in the compliance industry, the team's guidance is rooted in a deep understanding of the nuances within SEC, FINRA, and CFTC regulations.
  • Our approach to compliance is proactive, tackling potential risks head-on to prevent issues before they can disrupt your business.
  • We recognize that no two firms are alike, our team crafts compliance programs that are specifically tailored to meet the distinct requirements and business goals of each client.
  • Dedicated to not only managing immediate compliance needs but also providing the support and tools necessary for clients to thrive and maintain adherence to regulatory standards independently.
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