Blue Ocean Consulting was founded by a seasoned compliance professional with direct experience working alongside regulators, managing enforcement actions, and designing compliance programs for broker-dealers and registered investment advisers across complex supervisory environments.
The firm was established to fill a critical gap in the compliance consulting market: the space between solo practitioners who lack regulatory credibility and large consulting shops that charge premium fees for junior-staffed engagements.
Blue Ocean occupies that middle ground, delivering the expertise, judgment, and regulator-facing credibility of a senior compliance professional, at a price point that works for small-to-mid-sized financial firms.
The firm’s name reflects its mission: navigating uncharted or complex regulatory waters with confidence, precision, and independence charting a clear course where others see only risk.

We operate with full independence from financial product manufacturers and broker networks. Our advice is uninfluenced by anything other than your regulatory interests.

Every engagement is staffed and led by senior compliance professionals. No junior analyst dependency. You get the expertise you're paying for.

Our principals have direct experience with regulatory examinations, enforcement actions, and AWC remediation giving you the perspective regulators bring to your firm.

We build programs your people can actually operate. Defensible, practical, and calibrated to your specific business model not a generic template.
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