Q1 2022 Regulatory Reporting Deadlines
Below are the regulatory filing submission deadlines occurring from January through March 2022.
Filing Name |
Regulator |
Submission Deadline |
---|---|---|
Schedule 13G Monthly1 |
SEC |
Monday, January 10, 2022 |
Form 13H Quarterly |
SEC |
Monday, January 10, 2022 |
Form PF Liquidity Fund Quarterly |
SEC |
Saturday, January 15, 2022 |
Schedule 13G Monthly1 |
SEC |
Thursday, February 10, 2022 |
Form 13F Quarterly |
SEC |
Monday, February 14, 2022 |
Form 13G Annual |
SEC |
Monday, February 14, 2022 |
Form 13H Annual |
SEC |
Monday, February 14, 2022 |
Form PF Hedge Fund Quarterly |
SEC |
Tuesday, March 1, 2022 |
Schedule 13G Monthly1 |
SEC |
Thursday, March 10, 2022 |
Form ADV Annual3 |
SEC |
Thursday, March 31, 2022 |
MIFIDPRU: Application for use of the Group Capital Test |
FCA/ESMA |
Monday, January 31, 2022 |
AIFMD Annex IV2 |
FCA/ESMA |
Monday, January 31, 2022 |
AIFMD Annex IV - Fund of Funds2 |
FCA/ESMA |
Tuesday, February 15, 2022 |
Form CTA-PR |
CFTC/NFA |
Monday, February 14, 2022 |
CPO-PQR |
CFTC/NFA |
Tuesday, March 1, 2022 |
NFA Annual Affirmation |
CFTC/NFA |
Tuesday, March 1, 2022 |
CPO Annual Report |
CFTC/NFA |
Thursday, March 31, 2022 |
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).
3 For advisers with a December 31 fiscal year end.
Additional resources
We've created a calendar to help you stay on track with your regulatory filings. Request our Regulatory Filings Calendar to view key regulatory filing due dates and holidays at a glance.
How we help
Financial firms must meet various regulatory filings requirements or else face potential monetary penalties and reputational damage. However, the regulatory filings process can be time-consuming and error-prone when done manually in-house.
We combine technology with managed services to provide investment advisers and broker-dealers with a cost-effective, full-service offering designed to help streamline complex reporting requirements, improve data accuracy, and reduce the operational costs related to regulatory filings.
Our experienced team of regulatory filings specialists can help your firm draft, review, and file applicable filings on your firm’s behalf. We use ACA’s proprietary regulatory reporting platform for most filings to reduce risk and increase operational efficiencies.
Learn more about our regulatory filings and other managed services here.
For more information
For more information, contact your regular ACA Consultant or contact us here.