Just Compliance is a Minnesota-based RIA compliance firm that specializes in providing comprehensive compliance services to Registered Investment Advisers (RIAs). With a focus on fostering a culture of compliance, Just Compliance offers one-on-one support to help investment advisory firms face compliance challenges with confidence and ease.
Led by a former MN Securities Examiner and XYPN Compliance Consultant, Just Compliance has a proven track record of providing compliance services and ongoing support to over 200 RIAs. The firm offers a range of services, including hourly, ongoing, flat-fee, and project-based compliance consulting, with a commitment to fairness, equity, and justice in all aspects of their work.
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