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To become registered, securities professionals must pass qualifying exams administered by FINRA to demonstrate their competence in the particular securities activities in which they will work. An individual must pass the exams prior to engaging in those areas of the business.
- Series 82
For more information about the SIE and Series 82 exams,...
- FAQs
Following are FAQs about the Securities Industry Essentials®...
- Testing Accommodations Requests (Americans With Disabilities Act)
FINRA in compliance with the provisions of the Americans...
- Permitted Activities and Other Facts About Qualification Exams
The following pages will be useful to registration managers...
- Qualification Exam Waivers and Exemptions
FINRA may grant waivers, in exceptional cases, or exemptions...
- Frequently Asked Questions Related to Back-to-back Scheduling
The appointment times will follow one another. For example,...
- Finra Qualification and Registration Requirements Frequently Asked Questions
The FINRA qualification and registration requirements are...
- Schedule an Exam
After a candidate is enrolled to take an exam, FINRA will...
- Series 82
NASD Principal Examination (P-1 - P-40) S00 or C4. --. NYSE Representative Examination. S000. NASD Principal Examination. S40. *The SIE is a corequisite for this registration (i.e., GS = SIE + S7). Registration Code Classifications.
26 gru 2023 · The FINRA Series 8 license, officially known as the General Securities Sales Supervisor Qualification Examination (GS), is a regulatory requirement for individuals supervising the sales activities of general securities representatives.
2 paź 2024 · FINRA licenses include Series 6 and Series 7. The North American Securities Administrators Association (NASAA) oversees the licensing of Series 63, Series 65, and Series 66.
1 kwi 2024 · A FINRA license is a qualification you can earn from the Financial Industry Regulatory Authority (FINRA) to become a financial specialist such as a: Broker. Investment representative. Securities sales agent. Trader. Investment banker. Analyst.
The following is a list of the U.S. Financial Industry Regulatory Authority (FINRA), NASAA, and National Futures Association (NFA) financial securities examinations. Most FINRA examinations are divided into two categories: Registered Representative and Registered Principal levels.
17 kwi 2020 · The Series 8 exam is for firms that want to sell municipal securities to other firms. It is not a license for individuals and does not cover the products or services of Series 7. Learn about other FINRA Series licenses and how to choose the right one for your career.