Focus 1 Associates LLC is a premier provider of regulatory compliance services.  Dedicated to assisting registered investment advisers with their compliance needs under Rule 206(4)-7 of the Investment Advisers Act of 1940, we specialize in the areas of:  Compliance Program Development, Monitoring, and Oversight; Mock SEC Examinations; Third-Party Compliance Reviews; New Adviser Setup; and Compliance Training.  With unlimited consulting and tangible tools, our team of experienced professionals is committed to delivering practical, solutions-oriented assistance, tailored to your specific compliance needs.  Whether you’re looking for consulting and guidance on industry best practices, interpretation of the rules and regulations, or a practitioner to help you implement your compliance program, we’re your compliance team. http://www.focus1associates.com