Your courses are always concise and clear. Test questions pertain
to important points, not just useless information."
-S.M., NC
“The quality of the material was very good. . . .
The content was very strong and well written. . .”
- D.A., NH
"Great service. . . . Based on my experience with Beacon Hill, I would not
hesitate to use their services again or refer them to others."
- S.N., MA
Self-Study Continuing Education Courses for Financial Professionals
PACE
For a list of states which have approved PACE compliance as also meeting their state CE licensing requirement, contact The American College/PACE. www.theamericancollege.edu/docs/47.pdf
Click on pictures or links to view descriptions or purchase courses.
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CFP®, CERTIFIED FINANCIAL PLANNER®, and are certification marks owned by the Certified
Financial Planner Board of Standards, Inc. These marks are awarded to individuals who
successfully complete CFP® Board's initial and ongoing certification requirements.
Beacon Hill Financial Educators is registered with the National Association of State Boards
of Accountancy (NASBA) as a sponsor of continuing professional education on the National
Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance
of individual courses for CPE credit. Complaints regarding registered sponsors may be addressed
to the National Registry of CPE Sponsors, 150 Fourth Avenue North, Suite 700,
Nashville, TN, 37219-2417, Web site: www.nasba.org.
Beacon Hill Financial Educators is registered with the National Association of State Boards of Accountancy as a Quality Assurance Service (QAS) sponsor of continuing professional education. Participating state boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding QAS program sponsors may be addressed to NASBA, 150 Fourth Avenue North, Suite 700, Nashville, TN 37219-2417. Website: www.nasba.org. Sponsor #50.
Beacon Hill Financial Educators is a qualified sponsor of continuing professional education
required for individuals enrolled to practice before the Internal Revenue Service (enrolled agents)
and are in compliance with the requirements of Treasury Department Circular No 230, section 10.6(g).
We have entered into an agreement with the Office of Professional Responsibility, Internal Revenue
Service, to meet the requirements of 31 Code of Federal Regulations, section 10.6(g), covering
maintenance of attendance records, retention of program outlines, qualifications of instructors,
and length of class hours. This agreement does not constitute an endorsement by the Office of Professional
Responsibility as to the quality of the program or its contribution to the professional
competence of the enrolled individual.