ComplianceIQ™

Investment Policy Statement Monitoring

ComplianceIQ™ provides an active portfolio monitoring system to manage risk and Investment Policy Statement compliance with minimal resource demands.

ComplianceIQ™ offers twenty different policy options designed to mirror an Investment Policy Statement. The policies can be assigned to one or multiple accounts. You’ll be able to create bulk monitoring on areas such as cash or establish highly customized monitoring for institutional clients.

ComplianceIQ™ is always working for you. Policies can be updated on-the-fly and the system will return immediate results including any applicable exceptions. The system looks for exceptions following any updates to policies, market or account data. When exceptions are found, alerts are sent to the user via email and the ComplianceIQ™ dashboard.

ComplianceIQ™ enables the advisor and firm to create and demonstrate in the marketplace a superior approach to prudent investment practices.

Compliance Supervision

ComplianceIQ™ automates the supervision of regulatory requirements by tracking and reporting on critical tasks during account reviews. As you resolve the policy exceptions, ComplianceIQ™ logs the activity, keeping record of:

  • when the issue was resolved,
  • tasks sent to other users, and
  • your notes on the issue.

Compliance activity is logged by user, reminder, exception and account. This provides you and your firm with a specific electronic record you can access anytime so you have what you need when auditors come calling.

Sample Policy Categories Include

  • Account vs. Benchmark performance
  • Target allocations
  • Concentrated positions
  • Fixed Income Quality Ratings
  • Restricted/ Approved securities lists
  • Cash requirements
 

Learn More
Product Brochure
(PDF - 1,019 K)

Get Started
Call us at 800-555-6035, or email us at sales@informais.com