Outsourced FINOP & Compliance for Deal-Focused Broker-Dealers
Dealmaker Compliance, LLC provides outsourced FINOP services, accounting, and regulatory compliance support to investment banking and private placement broker-dealers. Founded by a CPA and former FINRA Principal Examiner, we deliver regulator-informed guidance tailored to limited-purpose, transaction-driven firms.
Who We Serve
Our Services
Accounting & Bookkeeping
Supervision and approval over financial books and records.
Net capital computations and ongoing monitoring
Regulatory report preparation and filings (FOCUS, SSOI, Form Custody, SIPC etc.)
Early warning analysis and notifications
Guidance on distributions, capital contributions, and expense treatment
Experienced Series 28 Registered Principal
Outsourced FINOP
Monthly bookkeeping and financial statement preparation
Revenue recognition for retainers, success fees, and deal-based compensation
Proper setup and implementation of expense sharing agreement
Bank reconciliations and asset verifications
QuickBooks Online setup, cleanup, and ongoing support
Coordination with tax preparers and auditors
Compliance Consulting
Policies and procedures tailored to M&A and private placement activity
Regulatory exam preparation and assistance
Ongoing regulatory guidance and risk assessments
Interpretation of FINRA and SEC rules as applied to limited-purpose firms
Support for new membership applications, business changes, and growth events
Advice on Capital Acquisition Broker vs Broker Dealer registration
Why Choose Dealmaker Compliance
About Me
I’m a FINOP and Certified Public Accountant with 15 years of experience at FINRA, where I most recently served as a Principal Examiner in the Capital Markets firm grouping. In that role, I led and conducted regulatory examinations of broker-dealers and capital acquisition brokers engaged in investment banking, M&A advisors, institutional placement agents, and product originators.
I witnessed firsthand how limited-purpose firms struggle under FINRA and SEC rules largely built for retail brokers, leading to unnecessary complexity and avoidable exam risk. I founded Dealmaker Compliance LLC to give deal-focused broker-dealers and capital acquisition brokers direct access to regulator-level insight tailored to their business model.
Prior to FINRA, I was a Senior Associate at RSM in the financial services industry, where I performed financial statement audits of broker-dealers.
I hold a bachelor’s degree in accounting from Illinois State University and am registered with FINRA as a Series 28 Financial and Operations Principal.