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FINRA Fines Morgan Stanley Wealth Management $650,000 And Scottrade Inc. $300,000 For Failure To Supervise Wire Transfers

On June 22, 2015, the Financial Industry Regulatory Authority, Inc. (“FINRA”) announced that it had reached a near $1 million settlement with Morgan Stanley Wealth Management (“Morgan Stanley”) and Scottrade Inc. (“Scottrade”) for failing to supervise wire transfers.  Brad Bennett, Executive Vice President and Chief of Enforcement at FINRA, commented…

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