Compliance Outreach Program for Municipal Advisors
Virtual Program Co-hosted by the SEC, MSRB and FINRA
Thursday, October 7, 2021
10:00 a.m. - 5:00 p.m. ET
Register to attend.
Optional EDGAR Tutorial (10:00 a.m. – 10:45 a.m.)
This tutorial assists filers that either are new to the EDGAR system or
would like to brush up on their EDGAR skills. SEC staff walks through
the process to complete the Form ID to obtain access to EDGAR along
with the process to access, complete, and submit the municipal advisor
registration forms. SEC staff addresses common EDGAR questions received
by municipal advisors along with common mistakes for filers to avoid.
Moderator: Mark Stewart, Attorney-Adviser, Office of Municipal
Securities, SEC
Panelist: Sylvia Pilkerton, Senior Business Analyst, EDGAR Business
Office, SEC
Break (10:45 a.m. – 11:00 a.m.)
Welcome and Program Preview (11:00 a.m. – 11:10 a.m.)
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Rebecca Olsen, Director, Office of Municipal Securities, SEC
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John Polise, National Associate, Broker-Dealer Exchange Program, Division of Examinations, SEC
Panel 1: Practical Considerations for Managing Conflicts of Interest
Disclosures (11:15 a.m. – 12:15 p.m.)
This panel focuses on municipal advisors’ review for, and disclosure
and mitigation of, material conflicts of interest to municipal entity
and obligated person clients under MSRB Rule G-42. Panelists describe
how they evaluate legal and disciplinary events for purposes of
disclosing information that is material to the client’s evaluation of
the municipal advisor or the integrity of its management or advisory
personnel. Additionally, panelists share their practices for making
timely and appropriate disclosures.
Moderator: Saliha Olgun, Director, Market Regulation, MSRB
Panelists:
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Ed Fierro, Senior Counsel, Bracewell LLP
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Tracie Palmer, General Counsel and Chief Compliance Officer, Post Oak Municipal Advisors LLC
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Brian Reilly, CFA, Senior Municipal Advisor and Principal, Ehlers, Inc.
Break (12:15 p.m. – 12:20 p.m.)
Panel 2: Regulatory Obligations of Municipal Advisor Operations (12:20
p.m. – 1:20 p.m.)
This panel focuses on the regulatory obligations related to municipal
advisors’ firm operations. Panelists address requirements for
maintaining registration, identifying associated persons of the
municipal advisor engaged in municipal advisory activities, and
maintaining general business records and other records in compliance
with SEC and MSRB rules.
Moderator: Bonnie Bowes, Director, Fixed Income Regulation, FINRA
Panelists:
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David Hodapp, Director, Market Regulation, MSRB
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Emily Hanson Santana, Attorney-Adviser, Office of Municipal Securities, SEC
Break (1:20 p.m. – 1:25 p.m.)
Panel 3: Municipal Advisor Activities Related to New Issue Pricing
(1:25 p.m. – 2:25 p.m.)
This panel focuses on municipal advisors’ duty of care obligations
under MSRB Rule G-42 and their supervisory obligations under MSRB
Rule G-44 when providing pricing-related advice to municipal entity
or obligated person clients. MSRB staff highlight municipal
advisors’ considerations for developing written supervisory
procedures regarding new issue pricing.
Moderator: Ernie Lanza, Senior Counsel to the Director, Office of Municipal Securities, SEC
Panelists:
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Gail Marshall, Chief Regulatory Officer, MSRB
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Jeff Smith, President, Omnicap Group LLC
Break (2:25 p.m. – 2:30 p.m.)
Panel 4: Preparing for an Examination (2:30 p.m. – 3:30 p.m.)
This panel provides insights on preparing for a regulatory examination.
This panel is particularly helpful for municipal advisors that have
never been examined, firms that have not been examined in several
years, and firm personnel who will participate in future exams.
However, all attendees are welcome.
Moderator: Cheryl Maddox, Managing Director, General Counsel, PFM
Panelists:
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William Downey, Examination Manager, Member Supervision, FINRA
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David Martin, Securities Compliance Examiner, New York Regional Office, Division of Examinations, SEC
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Julianne Graham, President, Oakdale Municipal Advisors
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Robert E. Lewis III, Senior Vice President, Managing Director Public Finance, PMA Securities, LLC
Break (3:30 p.m. – 3:35 p.m.)
Panel 5: SEC and FINRA Examination and Enforcement (3:35 p.m. –
4:50 p.m.)
SEC and FINRA examination and enforcement staff review common
examination findings and recent enforcement actions and
investigations. Panelists discuss observations related to the
updating of compliance procedures to reflect corrective actions
taken by municipal advisor firms and provide general observations
on effective supervisory practices. Industry practitioners share
their tips and tools for reviewing their compliance policies and
procedures.
Moderator: Bri Joiner, Director Regulatory Compliance, MSRB
Panelists:
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Michael Nouri, Lead Principal Analyst of Fixed Income Regulation, Office of General Counsel, FINRA
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Karla Serna, Senior Staff Accountant, Chicago Regional Office, SEC
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Mark Zehner, Deputy Chief, Public Finance Abuse Unit, Division of Enforcement, SEC
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Scott Coya, Vice President, Deputy Chief Compliance Officer, D.A. Davidson
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Jerry Ford, President, Ford & Associates
Closing Remarks (4:55 p.m. – 5:00 p.m.)
Yolanda Trottman-Adewumi, Vice President, Specialist Programs, FINRA