A compliance officer is a person who makes sure that the company complies with external regulatory and legal requirements, as well as internal policies and charters.
Securities and Exchange Commission Form 13F must be filed quarterly by institutional investment managers with at least $100 million in assets under management.
Form 144 must be filed with the SEC if there is an order to sell company stock during any three-month period where the sale volume exceeds 5,000 shares or units or the aggregate sale price exceeds $50,000.