Tagged with "scottrade inc."

FINRA Homes in On Rogue Broker Supervisory Failures

Posted on August 7th, 2015 at 4:18 PM
FINRA Homes in On Rogue Broker Supervisory Failures

FINRA has reached a $1 million settlement with Morgan Stanley Wealth Management and Scottrade Inc. Both brokerage firms allegedly had holes in their compliance systems which allowed brokers to improperly move funds without causing suspicion. Neither company admitted to or denied the charges, but both agreed to the sanctions.

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FINRA Fines Morgan Stanley And Scottrade For Failing to Detect Fraudulent Wire Transfer

Posted on July 24th, 2015 at 4:08 PM
FINRA Fines Morgan Stanley And Scottrade For Failing to Detect Fraudulent Wire Transfer

Morgan Stanley and Scottrade Inc. agreed to pay $950,000 to FINRA after the regulatory authority deemed that the two firms failed to monitor wire transfers of customer funds to third-party accounts.

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