Virtus LLP is affiliated with, Virtus Consulting LLC (“Virtus Consulting”), an independent service provider, dedicated to providing strategic, non-   legal guidance to financial advisers, municipal advisers, brokers and asset managers. Some of the services provided by Virtus Consulting via a separate, non-legal services engagement include:  

FINRA New Membership Applications | FINRA Continuing Membership Applications | SEC Investment Adviser Registration | Policies & Procedures | Compliance Training | Annual Reviews and Testing | Mock Examinations | Chief Compliance Officer Services

Office: 407.704.1893

9100 Conroy Windermere Road, Suite 200

Windermere, Fl 34786

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