Compliance2018-10-30T13:43:29+00:00

Focused on Compliance

EquiPro Investment’s approach to portfolio management is driven by a simple commitment: doing things the right way. We see compliance as more than just a necessary cost of business, but something that dwells at the center of our service delivery model. The ability to see the rewards of risk management through strict compliance is a highly unusual distinction in Receivables Management industry.

Security Credit Services was one of the first distressed asset buyers to obtain a Certificate of Compliance from the Receivables Management Association International (formerly the Debt Buyers’ Association). Moreover, two of our key leaders (Kaye Dreifuerst and Brett Soldevila) have served in RMAI roles as President, Board Director, Certification Chair, and Standards Committee Chair.

We have a department dedicated to handling consumer questions and disputes. We also engage two accounting firms to audit our compliance controls. We are SSAE 18 (SOC 1 Type 2) and PCI DSS compliant. SCS compliance achievements include:

  • PCI DSS compliant
  • Receivables Management Association International Certified Company
  • Financially audited
  • BBB Rating A+