
Provicing Corporate Legal Advisory Services Throughout North America

REGISTERED FINANCIAL ADVISOR (RIA)
SYNDICATE LEGAL SERVICES:
Steve Mueller's Syndicate Legal Services combines market insight with extensive legal and regulatory experience to assist investment advisers in connection with their businesses.
Steve Mueller's Syndicate Legal Services represent investment advisers (SEC & FINRA) involved in a wide range of activities. Some of the services we provide to our investment adviser clients include:
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Federal and state registration, including drafting of Form ADV;
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Advising on ongoing operational and compliance issues;
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Drafting and reviewing compliance policies and procedures;
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Drafting and negotiating investment advisory, licensing, sub-advisory, service and other agreements;
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Reviewing advisers’ advertisement, model performance data and Global Investment Performance Standards (GIPS) compliance;
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Advising on the sales, acquisitions and mergers of investment advisory businesses and assignment of contracts;
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Assisting with preparations for regulator examinations, responding to adverse findings and negotiation the terms of resulting actions; and
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Providing counsel in connection with arbitration proceedings and litigation.
Due to Steve Mueller's Syndicate Legal Services' extensive experience, we are able to navigate through the legal and regulatory issues facing an investment adviser in setting up its business, dealing with ongoing operational and compliance concerns, marketing and a range of investment and product structuring activities.
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Steve Mueller's Syndicate Legal Services also works with a variety of clients to analyze their organizations’ practices and structures to determine whether they fall within the definition of “investment adviser” under the Investment Advisers Act of 1940 and whether they are eligible from an exemption from registration.
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STEVE MUELLER'S
SYNDICATE LEGAL SERVICES
(a Professional Services Corporation)​
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Contact:
Phone: (661) 505-3122
Email: Click Here