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TRENDING TAGS
Stories of Interest
- Sarah ten Siethoff is New Associate Director of SEC Investment Management Rulemaking Office
- Catherine Keating Appointed CEO of BNY Mellon Wealth Management
- Credit Suisse to Pay $47Mn to Resolve DOJ Asia Probe
- SEC Chair Clayton Goes 'Hat in Hand' Before Congress on 2019 Budget Request
- SEC's Opening Remarks to the Elder Justice Coordinating Council
- Massachusetts Jury Convicts CA Attorney of Securities Fraud
- Deutsche Bank Says 3 Senior Investment Bankers to Leave Firm
- World’s Biggest Hedge Fund Reportedly ‘Bearish On Financial Assets’
- SEC Fines Constant Contact, Popular Email Marketer, for Overstating Subscriber Numbers
- SocGen Agrees to Pay $1.3 Billion to End Libya, Libor Probes
- Cryptocurrency Exchange Bitfinex Briefly Halts Trading After Cyber Attack
- SEC Names Valerie Szczepanik Senior Advisor for Digital Assets and Innovation
- SEC Modernizes Delivery of Fund Reports, Seeks Public Feedback on Improving Fund Disclosure
- NYSE Says SEC Plan to Limit Exchange Rebates Would Hurt Investors
- Deutsche Bank faces another challenge with Fed stress test
- Former JPMorgan Broker Files racial discrimination suit against company
- $3.3Mn Winning Bid for Lunch with Warren Buffett
- Julie Erhardt is SEC's New Acting Chief Risk Officer
- Chyhe Becker is SEC's New Acting Chief Economist, Acting Director of Economic and Risk Analysis Division
- Getting a Handle on Virtual Currencies - FINRA
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NEWSLETTERS & ALERTS
NYSE FLOOR MEMBER CEP - Tight Deadline
December 6, 2011
NYSE-Regulation issued a Member Education Bulletin reminding NYSE and Amex Equities members and member organizations that all modules in the currently launched Floor Member Continuing Education Program (“FMCE”) Session II hosted by Global Knowledge must be completed by the 12/19/11.
Beginning February 2012, FINRA will take over hosting FMCE modules from Global Knowledge. This transition will occur before the launch of the first session in March 2012. The current session is the last one that Global Knowledge will host. In light of the transition, if you do not complete all outstanding assignments by December 19, you risk being unable to complete the assignments until FINRA’s system is operational in February 2012.
N.B. Pursuant to Rule 103A, any Floor member who fails to complete his/her FMCE Program requirements within the specified days of original assignment will be barred from the Trading Floor until such assignment is completed.
NYSE Staff Contacts. Direct questions to: Clare Saperstein, VP, NYSE-Regulation [212.656.2355]; or David De Gregorio, Chief Counsel, NYSE-Regulation [212.656.4166]. [NYSE Member Ed. Bulletin 11-10, 12/5/11]
