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Quadrant Regulatory Group

Financial Counselors

Updated on Apr 9, 2026

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Description:

Quadrant Regulatory Group provides Broker-Dealers and Registered Investment Advisers with services that support compliance with SEC, FINRA, MSRB, NFA, and state securities laws. Quadrant compliance consultants deliver expert guidance, ongoing assistance during regulatory examinations, compliance support, testing, FINOP, and financial and accounting services. Quadrant has a dedicated team of Certified Anti-Money Laundering Specialists that perform independent tests of firms' anti-money laundering compliance programs. Our mission is to provide effective, efficient, and expert regulatory guidance to our clients in order to allow them to concentrate on their business.

List of Services:

FINOP & Accounting
FINRA Membership Application
Broker-Dealers
Investment Advisers
Independent Anti-Money Laundering Test

Business Hours:

Mon: 8:30 am - 5:00 pm
Tue: 8:30 am - 5:00 pm
Wed: 8:30 am - 5:00 pm
Thu: 8:30 am - 5:00 pm
Fri: 8:30 am - 5:00 pm
Sat: Closed
Sun: Closed

For more information, please contact us with the details below:

Contact Telephone:

(646) 930-1900

Contact Email:

[email protected]

Map

Quadrant Regulatory Group

122 E. 42nd Street Suite 2902 New York, New York 10168

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