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Wealth Management Compliance: AI Governance, Vendor Risk, and the SEC and FINRA

 

In this episode, you will learn

  1. What Compliance Officers at Wealth Management Firms Are Watching Right Now
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    What Compliance Officers at Wealth Management Firms Are Watching Right Now
  2. The "Technology Neutral" Approach — and Why AI Guardrails Come from Exams, Not Rulemaking
    (0:00)
    The "Technology Neutral" Approach — and Why AI Guardrails Come from Exams, Not Rulemaking
  3. AI Governance for RIAs: Recordkeeping, Disclosures, and the Explainability Standard
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    AI Governance for RIAs: Recordkeeping, Disclosures, and the Explainability Standard
  4. FINRA and SEC Overlap: Navigating the Double-Barrel Exam Problem
    (0:00)
    FINRA and SEC Overlap: Navigating the Double-Barrel Exam Problem
  5. The Vendor Oversight Gap: What's Showing Up in Litigation Right Now
    (0:00)
    The Vendor Oversight Gap: What's Showing Up in Litigation Right Now
  6. Hallucination, Bias, and Human Oversight: What FINRA's 2026 Priorities Mean in Practice
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    Hallucination, Bias, and Human Oversight: What FINRA's 2026 Priorities Mean in Practice
  7. Vendor Due Diligence and Minimum Viable Oversight: Documentation, Delegation, and Class Action Risk
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    Vendor Due Diligence and Minimum Viable Oversight: Documentation, Delegation, and Class Action Risk

Guests

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