Flynn Peter F Attorney At Law is a Boston-based law office specializing in providing regulatory solutions for broker dealers and investment advisors, helping them meet their obligations under SEC, State, and self-regulatory rules and regulations.
With a wealth of experience as both a regulator at the Securities and Exchange Commission and a compliance professional in the investment banking industry, Flynn Peter F offers a comprehensive range of services, including coordinating SEC NASD examinations, preparing for exams, responding to inquiries, and providing support for compliance officers and senior managers.
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