Standish Compliance Launches New Cybersecurity Offering (01/28/26)
We are pleased to announce that Standish Compliance has launched a new cybersecurity offering designed specifically for investment advisers, including both Registered Investment Advisers (RIAs) and Exempt Reporting Advisers (ERAs).
Cybersecurity continues to be a significant area of focus for regulators and limited partners alike. Most recently, the SEC initiated a targeted sweep examining cyber governance, controls, and incident preparedness in connection with the amended Regulation S-P requirements and the December compliance deadline for large advisers. This initiative underscores the SEC’s heightened expectations around data protection, incident response, and oversight frameworks across the industry.
Our new cyber offering is built to align closely with current regulatory expectations while remaining practical, scalable, and cost-effective. Services include:
Unlike many solutions on the market, our approach emphasizes governance, policies, procedures, and preparedness—tailored to the size, complexity, and risk profile of each adviser. As a result, the program is well-suited for both newly launched and established managers seeking to enhance or formalize their cyber compliance framework.
Attached is an overview of the offering, which highlights key components and areas of focus.
For additional information or to schedule a conversation, please contact Presley Valenzuela to discuss your firm’s cybersecurity and compliance needs, hear insights from the SEC’s recent sweep activity, or address any related regulatory questions.
200 Crescent Court, Suite 1300
Dallas, TX 75201