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Surge Ventures Launches SurgeONE.ai

Surge Ventures, a FinTech venture studio specializing in risk and regulatory innovation, today announced the launch of SurgeONE.ai, the industry’s first integrated platform combining AI, expert services and secure data infrastructure to power modern

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What are Regulatory Compliances and how do they Impact You?

The US federal, state, and local regulatory agencies periodically propose and enforce new laws and regulations related to financial and wealth management industries. Financial institutions often find

Whitepapers
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Why is Child Identity data valuable to cyber criminals?

915,000 U.S. children were victims of identity fraud in 2022, costing an average of $1,128 for a single household—$752 for the fraud itself and $376 out-of-pocket to resolve the fraud

Revolutionizing Compliance: The Power of RegVerse

Fusion1, a pioneering platform developed through collaboration among Surge Ventures portfolio companies, integrates OmnibusX and Avery. This groundbreaking solution streamlines compliance processes an

Regulatory Priorities for Wealth Management in 2025: What Firms Need to Know

This whitepaper goes into detail about the top 4 regulatory priorities for 2025: Enhanced ESG Reporting, strengthened cybersecurity measures, off-channel communication compliance, and increased regula

Whitepapers
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Migration of 2 Million Records with Zero downtime for a Global Financial Institution using QuickSync

A major global financial organization in Washington D. C., USA was using Microfocus ALM to manage their requirements and QA activities. Based on organization-wide changes to their internal software de

Case Studies
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Canon warns sensitive config info may be available on used printers

Canon offers the following Mitigation / Remediation for the impacted printers: When your printer may be in the hand of any third party, such as when repairing, lending or disposing the printer, take

Why is Child Identity data valuable to cyber criminals?

915,000 U.S. children were victims of identity fraud in 2022, costing an average of $1,128 for a single household—$752 for the fraud itself and $376 out-of-pocket to resolve the fraud

Best practices for damage control in cybersecurity

And yesterday they have yet another, bringing the total to 11 zero-day vulnerabilities addressed since January 1st. The following operating systems are impacted. Update ASAP as one vulnerability is

Tech Support Scams: What to Do If You’ve Been Duped

You call the phone number at the bottom of the screen and the technician talks you through getting out of the warning screen and asks you to download an app so they can help you clean up the computer.

The Hidden Costs of Non-Compliance: Avoiding Financial and Reputational Risks

Non-compliance with regulatory standards can have serious repercussions in the highly regulated business environment of today. The hidden costs of non-compliance can be enormous, ranging from heavy

Operational Efficiency in Wealth Management: Unlocking Growth Through AI and Automation

Wealth management firms are increasingly using automation and artificial intelligence (AI) in the rapidly changing wealth management sector to improve client experiences, streamline operations, and to

Navigating Regulatory Priorities in 2025 for Wealth Management Firms

Wealth management firms in 2025 are facing a swiftly changing regulatory landscape. The U.S. Securities and Exchange Commission (SEC) and Financial Industry Regulatory Authority (FINRA) are heightenin

Revolutionizing Compliance: The Power of RegVerse

Fusion1, a pioneering platform developed through collaboration among Surge Ventures portfolio companies, integrates OmnibusX and Avery. This groundbreaking solution streamlines compliance processes an

RegVerse Newsletter (January 2024)

Kickstart the year with crucial updates from the SEC on cybersecurity disclosure rules, insights on annual Form ADV updates, the latest in RIA compliance (plus a helpful checklist for starting a new R

Newsletters
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Regulatory Priorities for Wealth Management in 2025: What Firms Need to Know

This whitepaper goes into detail about the top 4 regulatory priorities for 2025: Enhanced ESG Reporting, strengthened cybersecurity measures, off-channel communication compliance, and increased regula

Whitepapers
Read more...

What are Regulatory Compliances and how do they Impact You?

The US federal, state, and local regulatory agencies periodically propose and enforce new laws and regulations related to financial and wealth management industries. Financial institutions often find

Whitepapers
Read more...

Migration of 2 Million Records with Zero downtime for a Global Financial Institution using QuickSync

A major global financial organization in Washington D. C., USA was using Microfocus ALM to manage their requirements and QA activities. Based on organization-wide changes to their internal software de

Case Studies
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Global Chip Company Leverages Kovair Omnibus to Support End-to-End Product Development Efficiency

As one of the major semiconductor chip manufacturers, the client produces end-to-end chips for various devices like computers and other devices. It is a US multinational company and its customers are

Case Studies
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Surge Ventures Launches SurgeONE.ai

Surge Ventures, a FinTech venture studio specializing in risk and regulatory innovation, today announced the launch of SurgeONE.ai, the industry’s first integrated platform combining AI, expert services and secure data infrastructure to power modern

Beacon Strategies: The Roundtable (Sonoma, CA)

This invitation only event focuses The Flagship Event for C-Suite Leaders that Explores the Challenges Facing Enterprise Wealth Firms in today's environment. Hosted by Beacon Strategies LLC. November, 2025

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2025 NSCP National Conference (Orlando, FL)

Join us at the 2025 NSCP National Conference, taking place October 26–29 in Orlando, FL. This flagship event, built “For Compliance, By Compliance,” brings together regulators, compliance officers, and industry leaders for practical, peer-driven discussions across broker-dealers, investment advisers, private funds, and more. With 60+ sessions, CE credit opportunities, and updates from the SEC and FINRA, it’s a must-attend for today’s compliance professionals.

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2025 FINRA Annual Conference (Washington, DC)

Join us at FINRA’s premier event which brings together professionals, peers and regulators to learn more and exchange ideas on today’s hot compliance and regulatory topics. The conference covers a broad range of topics including risk management, regulatory compliance, crypto asset developments and more. May 13-15, 2025

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Cramer & Associates: Compliance, Ops & Tech Roundtable (Nashville, TN)

This roundtable hosted by Cramer & Associates is designed to facilitate in-depth discussions among industry leaders, focusing on the latest trends, challenges, and innovations in compliance, operations, and technology within the financial services sector. March 19, 2025

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Beacon Strategies: Compliance Roundtable (Sarasota, FL)

This invitation only event focuses in on compliance, and features breakout sessions, case studies and panel talks for industry experts and those who keep regulators at bay. Hosted by Beacon Strategies LLC. February 18-20, 2025

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One Voice 2025 (Grapevine, TX)

Join us at the One Voice Annual Kickoff event, with the theme “Level Up” this year, to gain industry insights, network with peers and explore ways to elevate your financial services business. Learn the latest from panels on hot topics such as automation and AI. January 27-29, 2025

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