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Sectors — Investment Firms — Brokers

Brokers.

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From FCA authorisation to transaction monitoring and annual compliance meetings – our full spectrum of support keeps you ahead of regulatory changes, minimises compliance risks, and increases your authority with regulators and clients.

FIT-FOR-PURPOSE FRAMEWORKS FOR BROKERS

The broad reach of the broker role can extend your risk exposure across multiple regulatory frameworks – from MiFID II and EMIR, to Consumer Duty and sanctions regimes. This places pressure on internal compliance teams to not just interpret and implement these rules, but to continuously monitor compliance, respond to queries, and prepare for regulatory inspections.

At Cosegic, we streamline and simplify compliance by embedding it directly into your everyday workflows. Whether it’s integrating AML and KYC principles into client onboarding or delivering employee training that makes following the rules second nature. This creates robust, compliant processes and audit-ready records that protect your business and withstand rigorous regulatory attention.

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KEY SERVICES – LEVERAGE OUR EXPERTISE.
FCA Authorisation & Registration SEC Registration Variation of Permission Change in Control Wind-down planning Ongoing Compliance Support Secondments Consumer Duty Compliance Healthcheck Compliance Software SMCR Regulatory Reporting ICARA
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Our experts
Get in touch
Stephen Roberts
Stephen Roberts
Lead Director, Head of Investment Firms
Daniel Chessher
Daniel Chessher
Director, Investment Firms
Gary Paulus
Gary Paulus
Associate Director, Investment Firms
Tom Lockwood
Tom Lockwood
Associate Director, Investment Firms
Colin Iles
Colin Iles
Associate Director, Investment Firms
Joanna Scott
Joanna Scott
Associate Director, Investment Firms

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