Who We Are?

As a specialized commission, this office conducts inquiries and investigations into matters associated with fraud, suspect documents and money laundering. We are an independent regulatory commission for investment firms.

We exist to ensure that the corporate finance industry is conducting business fairly and under the guidance and supervision of policies set forth by the United States. We are committed in protecting the investing public and maintaining the market integrity through efficient governance and regulation of the industry.

WHAT WE DO

Educate The Investing Public
Restrict Unfair, Abusive And Fradulent Business Practice
• Development of Prevention, Detection & Internal Security Policies, Measures and Procedures
Accept Consumer Complaints
• Comprehensive Background Checks
• International Financial Crime & Fraud Investigations
Investigate And Enforcement Of Legal Actions
• International Financial Crime & Fraud Investigations
Dispute Resolution
• International Financial Crime & Fraud Investigations
• Financial Tracking & Asset Recovery
• Anti-money Laundering & Counter-terrorism Financing Activity
• Litigation Support & Expert Witness Testimony/Evidence
• Transaction Pattern & Trend Analysis
• Financial Instrument & Document Analysis
Mediation
Arbitration
Research

HOW WE ARE FUNDED

We receive funding from the Congress and we are answerable to the Treasury Department concerning financial allocation and distribution to employees.
We do not accept or charge any fees for any of the services we provide.