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In a world rife with financial opportunity and volatility, Tobin & Company provides a comforting combination of knowledge, experience, confidence.

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Tobin & Company specializes is a variety of investment banking services that meet the needs of our growing clientele, adapting as changes in financial regulations occur.

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In a world rife with financial opportunity and volatility, Tobin & Company provides a comforting combination of knowledge, experience, confidence.

Case Study: Registered Representative

Investment Banking Experience, Blended with Compliance Skill, Strikes the Right Balance

Situation

Throughout a Registered Representative’s career, knowledge and experience evolves. Often along with it, their view of what makes an “ideal” compliance officer, also evolves. After a few years with a top tier financial institution, one Tobin & Company’s current registered representatives had seen a broad swath of financial transactions go smoothly . . . and some not so smoothly. So, when he decided to join his family’s 30-year old financial Firm focusing on business sales, capital raises and acquisitions, he thought he knew what he was looking for in a broker-dealer and its compliance officer. Initially he hired a Broker-Dealer Firm led by a former FINRA auditor who knew the regulations chapter and verse.

Soon he came to understand that knowing the regulations and procedures didn’t help much if they didn’t know the investment banking business. The problem then, was where to find that needle in a very big haystack.

Solution

That’s when he turned to an investment banker he’d known for several years and had talked with periodically at professional meetings. He dug her business card out of an avalanche of business cards and called.

“I was looking for two things,” he says about that meeting. “Number one was, did she check the boxes in terms of FINRA requirements and broker-dealer licensure. And number two, did she understand the nuts and bolts of my business.”

When Registered Representatives seek out a broker-dealer to hold their FINRA licenses, they look for a professional with a broad array of FINRA licenses themselves, including the Series 7, 79, 24 and 28. But they also look for a financial professional with an intimate knowledge of the rules and procedures required for compliance, and someone who stays ahead of the regulations. Most of all they look for someone who has their back so they can get down to business without any distractions. As an added requirement, this registered rep wanted an investment banker he could work with. “I really wanted someone who was an investment banker, but more importantly, I wanted someone who understood the complexity my deals.”

Soon he came to understand that knowing the regulations and procedures didn’t help much if they didn’t know the investment banking business. The problem then, was where to find that needle in a very big haystack.

Results

After making the decision to work with Justine Tobin, CEO of Tobin & Company, the two have been working together now for four years, and despite securities being only a portion of his business, he appreciates Justine’s knowledge of compliance and the investment banking business. Another critical fact governing his decision is that her Firm has never had any FINRA violations, fines or citations.

One specific instance of TOBIN’s compliance style that stands out vividly to him was when he wasn’t sure whether a transaction that he was closing would meet the definition of a securities offering. After evaluation, Tobin & Company’s opinion turned out to be, “No it’s not a security,” but supporting the decision was clearly outlined facts and logic. It meant that TOBIN didn’t make any money this time around, but it was an example of holding integrity above profit, something our client deeply values.

“That was just one instance of her having my back,” he says. “She shoots very straight regardless of what it means to her bottom line. And to be frank that integrity encourages me to work all the harder to get securities in front of her so she can make money.”

“As a compliance officer Justine is certainly an A, if not an A+. Give her credit, she’s got to be both compliance and customer service and that’s not an easy balance to strike.”

Tobin & Company
Registered Representative

(At Tobin & Company we take seriously our responsibility to protect the privacy of Registered Representatives operating under our compliance supervision. As a result, we do not publish names, contact information, or lists, of the Registered Representatives we work with. In keeping with this policy, names have been omitted from this case history. If you are seeking sponsorship by Tobin & Company for financial compliance we can provide contact information from our clients who have granted permission for us to use them as references. Just call 704-334-2772.)

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Contact Tobin & Company and here’s what you get – we’ll listen. And we will give
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