Who We Work With
We work with a broad range of organizations throughout the business lifecycle, including:
Our award-winning regulatory and compliance consulting team brings a wealth of experience from experts within the financial industry, including former regulators, chief compliance officers, attorneys, chief operating officers and fund administrators. Our seasoned team leverages its extensive knowledge and experience in regulatory enforcement and examinations, complex securities litigation, risk management, governance and operations on behalf of our clients.
We work with a broad range of organizations throughout the business lifecycle, including:
Money Services Business (MSB) and Money Transmission Licensing (MTL)
Kroll supports fintechs, payment companies, digital asset firms, and financial institutions in navigating the complex federal and state regulatory framework governing money services businesses and money transmission. Our team provides strategic, technical, and operational guidance across the full lifecycle—from determining regulatory obligations to managing licensing, examinations, and ongoing compliance.
MSB Registration and AML/BSA Program Development
State Money Transmission Licensing (MTL)
Regulatory Readiness and Examination Support
Operational Controls and Technology Enablement
Our global compliance team, with expertise across multiple regulators—including the SEC and Financial Conduct Authority (FCA)—guides organizations through the registration process and helps establish comprehensive compliance programs.
With considerable expertise in establishing advisory firms and aiding in initial registrations, our services extend to comprehensive ongoing compliance support for numerous investment advisers and private fund managers globally, ensuring they meet SEC mandates and lower their compliance risks.
Our customized offerings encompass:
Kroll streamlines your regulatory examinations preparedness with a proven, methodical approach, leveraging our experts’ vast industry experience. Our comprehensive mock examination services equip your team with essential guidance. We cover pre-examination preparedness, regulatory encounters in connection with on-site examinations and effective responses to examination and enforcement requests.
Our SEC mock examination services provide:
Our team leverages extensive expertise in regulations, operations, risk management and governance to help clients mitigate the risks of negative outcomes. This includes:
Kroll provides tailored services to assist broker-dealers in meeting regulatory requirements, enhancing compliance programs and navigating the complexities of FINRA rules.
These services cover areas including:
Kroll’s experts specialize in NFA and CFTC registration, providing ongoing support to ensure your organization remains compliant with their rules and requirements.
These services cover:
From pivotal elections to advances in AI to heightened geopolitical tensions, the events of the past year have only amplified the challenges of fighting financial crime. Based on data from over 600 executives across the globe, our report provides insight to help leaders prepare for what’s next.

Financial Services Compliance and Regulation
In the ever-evolving financial services landscape, Kroll's award-winning team offers comprehensive regulatory and compliance services, guiding clients through registration, licensing, and compliance support to minimize risks and enhance efficiency globally.
Managed Compliance Software
Automate routine compliance tasks and stay ahead of risk with Kroll’s regulatory expertise.
Compliance and Regulation
End-to-end governance, advisory and monitorship solutions to detect, mitigate and remediate security, legal, compliance and regulatory risk.