Q4 2024 Regulatory Reporting Deadlines
Financial firms must meet various regulatory filings requirements throughout the year. Below are the regulatory filing submission deadlines occurring from October through December 2024.
Filing Name |
Regulator |
Submission Deadline |
Form N-MFP |
SEC |
Monday, October 7, 2024 |
Form 13H Quarterly |
SEC |
Thursday, October 10, 2024 |
Form 13G Monthly1 |
SEC |
Thursday, October 10, 2024 |
Form PF Liquidity Fund Quarterly |
SEC |
Tuesday, October 15, 2024 |
Form 13G Monthly1 |
SEC |
Tuesday, November 5, 2024 |
Form N-MFP |
SEC |
Thursday, November 7, 2024 |
Form 13F Quarterly |
SEC |
Thursday, November 14, 2024 |
Form 13G Quarterly |
SEC |
Thursday, November 14, 2024 |
Form PF Hedge Fund and Private Equity Fund Advisers Quarterly | SEC | Friday, November 29, 2024 |
Form 13G Monthly1 |
SEC | Thursday, December 5, 2024 |
Form N-MFP |
SEC |
Friday, December 9, 2024 |
AIFMD Annex IV2 | FCA/ESMA | Tuesday, October 29, 2024 |
AIFMD Annex IV - Fund of Funds2 |
FCA/ESMA |
Tuesday, November 19, 2024 |
Form CTA-PR |
CFTC/NFA |
Thursday, November 14, 2024 |
Form CPO-PQR | CFTC/NFA | Friday, November 29, 2024 |
SLS Filings |
FINRA |
Thursday, October 24, 2024 |
Form Custody Filings | FINRA | Thursday, October 24, 2024 |
Quarterly FOCUS Part II/IIA Filings | FINRA | Thursday, October 24, 2024 |
SSOI Filings | FINRA | Tuesday, October 29, 2024 |
SIS Filings | FINRA | Tuesday, October 29, 2024 |
Annual Audit Filings | FINRA | Tuesday, October 29, 2024 |
Off-Balance Sheet Items (OBS) Form Filings | FINRA | Thursday, October 31, 2024 |
SLS Filings | FINRA | Monday, November 4, 2024 |
Monthly and Fifth FOCUS Part II/IIA Filings | FINRA | Tuesday, November 26, 2024 |
Annual Audit Filings | FINRA | Friday, November 29, 2024 |
SIS Audit Filings | FINRA | Monday, December 2, 2024 |
SLS Filings | FINRA | Friday, December 6, 2024 |
Monthly and Fifth FOCUS Part II/IIA Filings | FINRA | Tuesday, December 24, 2024 |
Annual Audit Filings | FINRA | Monday, December 30, 2024 |
SIS Filings | FINRA | Monday, December 30, 2024 |
1 Schedule 13G deadlines depend on the type of adviser and may occur throughout the year as thresholds are met.
2 Submission deadline is based upon guidelines issued by ESMA, exact date to be determined by reference to rules implemented by individual jurisdictions (in which filing obligation is owed).
Download our Regulatory Filings calendars
We've created calendars to help you stay on track with your regulatory filings. Our at-a-glance calendars provide key reporting deadlines and on-going and annual regulatory obligations for investment advisers and broker-dealers registered with the:
- SEC
- FCA
- ESMA
- CFTC
- NFA
- FINRA
Download our Investment Adviser Filings Calendar
Download our FINRA Filings Calendar
How we help
Financial institutions must meet various regulatory filings requirements and other obligations, or subject their firm to penalties, sanctions, and hard-to-repair reputational losses. ACA Signature can help.
ACA Signature is a scalable solution curated to suit your firm’s unique compliance needs. We combine compliance advisory, innovative technology, and managed services to effectively address regulatory commitments and day-to-day responsibilities, including assisting with regulatory filings.
Reach out to your ACA consultant, or contact us to find out how ACA Signature can help transform your firm’s compliance program.