To reinstate a Series 7 and 63 license, you typically need to complete the appropriate re-registration process with the Financial Industry Regulatory Authority (FINRA) and your state’s securities regulator. This often involves submitting a new Form U4 application through your employer, as well as any required fees. Additionally, you may need to retake and pass the Series 7 and 63 exams if your licenses have been expired for a certain period. Always check the specific requirements on the FINRA website and consult with your employer for guidance.
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