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Managing Conflicts of Interest

Conflicts of interest, from personal trades to outside business activities, are a core focus for regulators. Rule 204A-1 of the Investment Advisers Act requires firms to maintain a Code of Ethics and supervise employee activity – tasks that can be cumbersome without the right system in place.

The Comply ecosystem brings it all together. With connected tools for preclearance, trade monitoring, certifications, disclosures, and case management, compliance officers gain holistic visibility into employee risk – and a defensible record to prove oversight.

Employee Trade Monitoring

Track Trades. Mitigate Risk.

Employee trading activity is one of the most scrutinized sources of potential conflicts of interest. Comply’s Employee Trade Monitoring solution gives compliance teams real-time visibility into accounts and activitytransforming oversight from reactive to proactive.

  • Capture account-level activity with direct broker feeds, covering the accounts where employees actually trade
  • Automate preclearance requests with workflows that apply firm rules and restricted lists
  • Flag potential violations like insider trading, front-running, and excessive trades with powerful rule-based surveillance mapped to your Code of Ethics
  • Document every alert, approval, and investigation in one platform, building an audit trail for regulators
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Comply Trade Monitoring
Digital Asset Trade Monitoring

Modern Compliance for Modern Assets

Crypto introduces new risksbut oversight shouldn’t be separate. Comply Digital Asset Trade Monitoring is the first end-to-end solution that lets compliance teams preclear, monitor, and audit employee cryptocurrency transactions within the same platform used for traditional securities.

  • Capture trades and holdings automatically major exchanges and wallets
  • Preclear crypto transactions with workflows aligned to your firm’s Code of Ethics and policies
  • Document all crypto trade activity, creating an audit-ready trail
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Digital Assets Clean
Certifications and Attestations

Operationalize Your Policies

Certifications and attestations demonstrate that employees, contractors, and sub-advisers understandand commit toyour firm’s policies. Regulators expect this acknowledgment, and Comply makes it scalable, automated, and defensible.

  • Automate distribution and reminders, reducing repeat, manual tasks
  • Configure questionnaires and workflows to match your firm’s unique requirements
  • Analyze responses to surface outliers, notify supervisors of red flags, and generate audit-ready evidence
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Comply Platform Certifications
Case Management

Track Violations from Discovery to Remediation

When potential violations arise, compliance teams need proof of supervision in action. Comply Case Management centralizes investigations, documentation, and resolution so firms can enforce policies consistently and demonstrate alignment to regulatory expectations.

  • Route cases through configurable workflows, ensuring the right reviewers are involved and confidentiality is preserved
  • Maintain workpapers, correspondence, and documentation in one place for quicker internal or regulatory responses
  • Analyze case data to identify patterns of behavior, escalate issues, and generate reports by category or classification
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Case Management Isolated
Compliance Reporting

View Compliance Data and Run Reporting with Ease

Visualize your employee trading data and build customized reports with ease to identify trends in compliance activities and share information for internal audits, management meetings, and examinations.

  • Gain immediate insights into activities with Comply Widgets – customizable data visualizations on your compliance dashboard
  • Personalize your dashboard and access detailed data with just a few clicks
  • Export visual analytics, dashboards, and ad-hoc reports to quickly share pertinent compliance information
  • Document a full audit trail of employee activity and compliance communications to comply with books and records requirements
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Comply Platform Dashboard Screenshot

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Compliance with Confidence

Monitor and mitigate potential Code of Ethics, Conflict of Interest, or Personal Trading violations with a data-backed solution supported by 300+ direct broker feeds.

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