Now that the proposed regulations are out implementing the PTE, I have approached several potential Investment Advisers to to prepare proposals to provide fiduciary advice to participants. All of them have said they are interested and would be willing, if they could identify and engage an independent auditor that would satisfy the audit requirements of section 408(g)(6) of ERISA and the compliance of investment adviser arrangements.
Do you know of any auditors that are geared up to to perform this work?
Thank you in advance for your replies.