AdvisorVault closes the gap between compliance and technology. In many instances internal compliance officers lack the IT knowledge necessary to create a comprehensive compliance solution – while the technical people do not understand compliance issues well enough to build systems that meet your specific needs.
AdvisorVault’s expertise in the data compliance issues surrounding investment broker-dealers allow us to quickly and effectively move a broker dealer toward complete data compliance. That means you will always be on top of FINRA rules 17a-3, 17a-4, NASD rule 3510, 3010 and NYSE rule 4400.
A FOCUS ON TECHNOLOGY
MEET THE PRESIDENT
Allan Lonz, President and CEO of AdvisorVault is a veteran in the field with 0ver 15 years experience providing data compliant solutions to the financial industry, especially for small FINRA firms.
Recognizing that very few technology providers understood the data compliance challenges of small FINA firms, Allan created AdvisorVault – a remote backup company designed to provide his customers with a solution to ensure they meet all current rules from FINRA and the SEC. It includes all the technology to remotely backup, archive and ensure disaster recovery of critical electronic records such as email, books and records and all other data at head office, branch offices and remote locations and the cloud, in accordance with rules SEC rule 17a-4.
With Allan’s deep understanding of technology, compliance and finance he brings a unique mix of expertise that allows him to design a complete turn-key product. Priced at one small monthly fee, this “out-of-the-box ” approach takes the burden off his customers shoulders and allows them to experience complete data compliance peace of mind simply and inexpensively.