Watch how My RIA Lawyer provides attorney-led compliance solutions that protect your firm, defend against regulatory actions, and free you to focus on growth.
Unlike traditional compliance consultants, we’re a law firm—providing attorney-client privilege, regulatory defense, and legal backing on every engagement.
Compliance shouldn’t hold your firm back from growth. As your RIA or broker-dealer scales beyond the early stages, compliance becomes increasingly complex—multi-state registrations, SEC examinations, sophisticated product offerings, and growing teams all demand expertise that goes beyond basic compliance consulting.
My RIA Lawyer provides comprehensive compliance solutions designed for growing financial firms managing significant assets and navigating complex regulatory environments. Whether you need occasional guidance, full compliance support, or a complete outsourced Chief Compliance Officer, we have the right solution for your firm.
Unlike traditional compliance consultants, we’re a law firm. Every compliance service includes attorney-client privilege and access to licensed securities attorneys—not just compliance professionals. When regulators come knocking, you need more than a consultant. You need legal counsel.
Choose the level of support that matches your firm’s size, complexity, and growth stage. Not sure which option fits? Take our 2-minute quiz or schedule a consultation.
Compliance guidance when you need it—flexible, expert support without full outsourcing.
Perfect if you:
Need expert guidance but aren’t ready for full outsourcing. Great for occasional questions, specific projects, or building compliance infrastructure.
Perfect if you:
Need comprehensive compliance support with a full team but want flexibility on CCO designation. Built for growing RIAs with increasing complexity.
Perfect if you:
Need complete compliance takeover for an established multi-advisor RIA. Ideal for firms facing CCO retirement, under regulatory scrutiny, or wanting to eliminate compliance as a bottleneck.
| Feature | CCO On Call | OCD | OCCO (OCD+) |
|---|---|---|---|
| Commitment Level | As-needed | Ongoing partnership | Complete takeover |
| Named CCO on Form ADV | No | Optional | Yes |
| Primary Regulatory Contact | You | Shared | Us |
| Monthly Hours Included | 15 billable hours | Unlimited consults | Unlimited + 5 legal hours |
| Compliance Team | Attorney access | Manager + 2 analysts | Manager + 2 analysts + attorney |
| ComplianceNerdOS | No | Included | Included |
| On-Site Exam Support | Consulting only | Guidance | On-site presence |
| Best For Firms With: | $100M–$500M AUM | $350M–$2B AUM | $500M–$5B AUM |
| Typical # of Advisors | 1–5 | 3–15 | 5–20+ |
When it comes to compliance, you need more than a consultant checking boxes. You need legal protection, strategic guidance, and a team that fights for you when regulators come knocking.
Attorney-client privilege on everything
We’re not just compliance professionals—we’re securities attorneys who provide legal counsel, regulatory defense, and attorney-client privilege on every engagement.
Attorney-client privilege protects all your communications with us
Legal defense is bundled in, not billed separately when you need it
Licensed attorneys who can practice law and defend you in proceedings
Respond to regulators under privilege with strategic legal counsel
The Difference: Compliance consultants can tell you what to do. We can defend you in court and respond to regulators under privilege.
We get firms out of tough situations
We specialize in helping firms navigate regulatory examinations, deficiency letters, Wells notices, and enforcement actions. We don’t just manage compliance—we defend it.
Immediate deployment when regulatory issues arise
SEC, FINRA, and state examination expertise
Strategic response preparation and implementation
Proven success with challenging regulatory situations
Client Result: “When the SEC showed up, having My RIA Lawyer was invaluable. Zero deficiencies.” — Managing Partner, $1.2B AUM
Your compliance nerds
We’re not generalist lawyers dabbling in compliance. We exclusively serve RIAs, broker-dealers, private fund managers, and financial professionals.
Investment adviser regulations, not general corporate law
We understand your unique structures and challenges
15+ years exclusively in financial services compliance
Proven strategies from working with 500+ RIAs
We Live This: We don’t dabble in compliance—we eat, sleep, and breathe SEC and FINRA regulations.
Complete solution with software
We’re not just compliance professionals—we’re securities attorneys who provide legal counsel, regulatory defense, and attorney-client privilege on every engagement.
Attorney-client privilege protects all your communications with us
Legal defense is bundled in, not billed separately when you need it
Licensed attorneys who can practice law and defend you in proceedings
Respond to regulators under privilege with strategic legal counsel
The Difference: Compliance consultants can tell you what to do. We can defend you in court and respond to regulators under privilege.
Service levels that grow with you
We specialize in helping firms navigate regulatory examinations, deficiency letters, Wells notices, and enforcement actions. We don’t just manage compliance—we defend it.
Immediate deployment when regulatory issues arise
SEC, FINRA, and state examination expertise
Strategic response preparation and implementation
Proven success with challenging regulatory situations
Client Result: “When the SEC showed up, having My RIA Lawyer was invaluable. Zero deficiencies.” — Managing Partner, $1.2B AUM
Results that matter
We’re not generalist lawyers dabbling in compliance. We exclusively serve RIAs, broker-dealers, private fund managers, and financial professionals.
Investment adviser regulations, not general corporate law
We understand your unique structures and challenges
15+ years exclusively in financial services compliance
Proven strategies from working with 500+ RIAs
We Live This: We don’t dabble in compliance—we eat, sleep, and breathe SEC and FINRA regulations.
Our team of securities attorneys, compliance managers, and analysts work together to provide comprehensive compliance support for your growing RIA.
We’re not just compliance consultants—we’re licensed attorneys who can defend you when regulators come knocking. That’s the My RIA Lawyer difference.
Most clients are fully onboarded within 2-3 weeks of signing up. We’ll schedule an initial consultation, conduct a compliance assessment, review your current compliance program, and begin providing services immediately. For urgent situations (like pending examinations), we can accelerate the timeline.
OCD (Outsourced Compliance Department) provides a full compliance team and program management, but YOU decide whether we’re named as CCO on your Form ADV or we support your existing CCO.
OCCO (Outsourced Chief Compliance Officer) means we ARE your CCO—we’re named on Form ADV, we’re the primary regulatory contact, and we take complete compliance responsibility. It includes everything in OCD plus enhanced services like on-site exam presence and additional legal support.
We provide immediate support for regulatory examinations, including:
Our exam pass rate is 100%. As a law firm, we provide attorney-client privilege and regulatory defense—not just compliance consulting.
Yes! ComplianceNerdOS is included with all OCD and OCCO services at no additional cost. Unlike other providers who charge separately for compliance software, we bundle our proprietary platform into your service fee. There are no hidden software costs, no per-user fees, and no surprise vendor bills.
ComplianceNerdOS provides complete workflow management, document storage, task tracking, IAR onboarding, and audit trails—everything you need in one platform.
Yes. As a law firm, we’re ethically bound to act as fiduciaries to our clients. You can cancel your service at any time without long-term lock-in contracts. We offer this flexibility because we’re confident in the value we provide—most clients stay with us for years because we become an integral part of their business.
We work with both RIAs and broker-dealers. Our team has extensive experience with FINRA regulations, supervisory procedures, and broker-dealer compliance requirements. Whether you’re an RIA, BD, or hybrid firm, we have the expertise to support your compliance needs.