About the Business
Since 1994, Bridge Capital Associates has been helping clients meet their broker/dealer and registered investment advisor compliance requirements. Our team of experts provide accurate and informed analysis to ensure compliance with the FINRA, SEC, and state regulations, as well as assisting with regulatory audits. We offer a full service consultancy that can be tailored to each client’s individual needs, providing advice and guidance on regulatory matters.
Our experienced staff have extensive knowledge and understanding of compliance regulations and audit processes, and are able to provide comprehensive support to our clients. We specialize in providing a cost-effective outsourcing solution that helps to save time and resources for our clients.
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- Since 1994, B/D Compliance Associates, Inc. ("BDCA") has specialized in broker/dealer and registered investment advisor compliance consulting. We help clients sort through FINRA, SEC and state compliance challenges as well as regulatory audits by providing clear, accurate analysis and expertise. In regulatory matters, BDCA serves as a regulatory liaison that ultimately saves our clients time and internal staff resources by providing a full service outsourced compliance solution. We offer practical regulatory compliance advice and a flexible solution that is tailored to each client's unique regulatory requirements. B/D Compliance Associates is a certified Women's Business Enterprise ("WBE").
- (770) 923-9632
- 5726 Williamsburg Dr NW, Norcross, GA 30093
- Visit Website
Opening Time
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Mon
9:00 AM - 5:00 PM
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Tue
9:00 AM - 5:00 PM
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Wed
9:00 AM - 5:00 PM
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Thu
9:00 AM - 5:00 PM
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Fri
9:00 AM - 5:00 PM
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Sat
Closed
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Sun
Closed