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Capital Markets Compliance Advisory in Bulgaria
Markets regulation generates hard questions weekly. ABM Global Compliance provides capital markets your compliance advisory in Bulgaria, translating MiFID II, MiFIR, MAR, and IFD requirements into practical answers your investment firm can act on.
Regulatory Advice Investment Firms Actually Use
Investment firms face interpretation questions constantly: whether a new product triggers product governance obligations, how best execution applies to a venue change, when a client can be recategorised, what an ESMA guideline means for your compliance function, or how IFD classification affects your capital. Wrong answers create supervisory friction, and slow answers stall desks waiting to trade.
Our advisory service delivers that judgement on demand. Experienced consultants and former regulators interpret requirements against your specific business, give you defensible positions in plain language, and help you engage supervisors confidently. From routine conduct questions to complex structuring and perimeter analysis, you get answers grounded in how European markets supervision actually works.
What Our Markets Advisory Covers
Regulatory questions arrive from every desk at once, so our advisory coverage spans the full breadth of markets regulation. From conduct interpretation to supervisor correspondence, our specialists give your firm clear, defensible answers grounded in current European requirements and genuine supervisory experience.
Conduct Advice
Clear practical interpretation of suitability, best execution, product governance, and cost disclosure obligations.
Perimeter Analysis
Assessing whether your activities, instruments, and business models genuinely require full MiFID authorisation.
Prudential Guidance
Practical advice covering your IFD firm classification, capital, liquidity, and remuneration requirements throughout.
Supervisory Engagement
Support preparing your responses, notifications, and correspondence with your national competent authority throughout.
Regulatory Change
Tracking ESMA guidance, MiFIR review, and national developments and translating them into actions.
Ad Hoc Opinions
Written regulatory opinions that your board and your auditors can rely upon confidently.
Ready to Strengthen Your Compliance?
Why Investment Firms Rely on ABM Advisory
Senior Judgement
Former regulators and experienced markets specialists answering your questions, never just juniors.
Plain Answers
Clear, defensible positions in plain business language, never hedged memos nobody uses.
Always Current
Advice grounded firmly in the latest ESMA guidelines and national supervisory developments.
Who Uses Our Advisory
Brokers, portfolio managers, investment advisers, trading firms, and venue operators in Bulgaria use our advisory service. Whether you need a standing advisory relationship or answers to one complex question, our specialists respond quickly.
Compliance advisory, regulatory reporting, and financial crime frameworks for banks and credit institutions.
MiFID II, market abuse, and transaction reporting support for capital markets participants.
Authorisation, governance, and ongoing compliance support built around your investment firm obligations.
Practical compliance frameworks for asset managers, AIFMs, and UCITS management companies alike.
Licensing, safeguarding, and operational compliance support for payment institutions across EU markets.
EMI authorisation, safeguarding arrangements, and ongoing regulatory reporting support across the EU.
Regulatory guidance that keeps innovative business models compliant from launch through scale.
MiCA, DORA, and digital asset compliance for Europe’s next generation of finance.
Trusted and Loved by Our Clients Across the Europe
Businesses across Europe trust ABM to guide their licensing, strengthen their frameworks, and keep their compliance on track. Here is what founders, compliance officers, and executives say about working with our team.
Years Of Expertise
ABM guided our payment institution licence application from start to approval. Their knowledge of regulatory expectations saved us months of preparation and uncertainty.
Trusted Expert Guidance, Just One Message Away
Tell us about your business and regulatory needs. One of our compliance specialists will respond within one working day with clear, practical next steps.
- Unit 6, Trinity Court, Fonthill Business Park, Clondalkin, Dublin 22, D22 YE30, Ireland
Book Your Consultation
A confidential conversation about your licensing plans, compliance challenges, or regulatory questions, with no obligation attached.














Markets Advisory Questions Answered
What questions does markets advisory cover?
Anything regulatory: MiFID II conduct, perimeter and licensing questions, IFD prudential requirements, market abuse obligations, ESMA guidelines, notifications, and supervisory correspondence affecting your firm.
How quickly do you respond to queries?
Routine questions within one to two working days, urgent trading or supervisory matters faster. Standing advisory clients receive priority access to senior specialists, including MAMLA duties.
Can advice be relied on formally?
Yes. We provide written opinions suitable for boards and auditors, clearly reasoned against requirements, though formal legal opinions remain a matter for counsel.
Do you help with ESMA guideline implementation?
Absolutely. We assess which guidelines apply to your firm, gap-assess your arrangements, and build proportionate implementation plans your compliance team can execute.
How is advisory support priced?
Either a monthly retainer with agreed response times or project pricing for defined questions, keeping your advisory costs predictable and transparent either way.