About Kuria Consulting
Kuria Consulting, LLC is a principal-led compliance consultancy serving registered investment advisers and broker-dealers nationwide. Compliance consulting, principal to principal.
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Experience that understands compliance in practice.
Compliance Programs
Supervisory Controls
Examination Preparation
Ongoing Support
Compliance expertise extends beyond the engagement.
Research
Dr. Kuria’s scholarship and practitioner-focused writing examine representation in financial advisory, leadership signaling, trust, and organizational governance.

Speaking
Dr. Kuria speaks on diversity and representation in financial services, as well as career development within financial-services compliance.

Training
She develops training curricula and practical guides for compliance professionals and financial-services organizations.

The document was compliant. The program was not.
Over twenty-five years, I have sat on nearly every side of a compliance conversation: building the program, supervising the people who follow it, answering the examiner’s questions, and explaining to leadership why the answer to a business question is sometimes no, and sometimes not yet.
What I saw repeatedly was a gap. Small and mid-sized firms were being handed template manuals that described a firm they were not, then held to those manuals during examination.
Kuria Consulting exists to close that gap, and to make compliance a source of confidence rather than anxiety for the firms I serve.

Expertise built around how compliance works in practice.
Compliance Program Design & Build-Out
Compliance manuals, supervisory procedures, codes of ethics, and supporting policies built around the firm's structure and business lines.
Supervisory Oversight & Operational Controls
Supervisory systems, delegation, escalation structures, remote supervision, and operational controls.
Registration & Regulatory Filings
SEC and state registration, broker-dealer formation support, Form ADV, Form U4, amendments, and renewals.
Examination Preparation & Regulatory Response
Mock examinations, document requests, examiner interviews, deficiency responses, and regulatory inquiries.
Training & Curriculum Development
Firm-wide and annual compliance training, code of ethics training, role-specific curricula, and practical guides.
Research & Governance Insight
Research on trust, representation, governance, leadership signaling, and culture of compliance.
A foundation of education, credentials, and continued engagement.
Education
Doctor of Business Administration
Prairie View A&M University
MBA, Finance
University of St. Thomas
BBA, Finance
Texas Southern University
Professional Credentials
IACCP
Investment Adviser Certified Compliance Professional
Active Registrations
Series 7 · Series 24 · Series 53 Series 63 · Series 65
Membership and Affiliations
Houston Compliance Roundtable
Co-Manager
National Society of Compliance Professionals
Member
Association of African American Financial Advisors
Member
Investment Adviser Association — DEI Committee
Founding Member
National Association of Black Compliance and Risk Management Professionals
Member
