COMMONGOOD SECURITIES LLC X-17A-5 (2023-03-27) — Broker-dealer annual report

Full text of COMMONGOOD SECURITIES LLC's X-17A-5 filed 2023-03-27 (period 2022-12-31). Broker-dealer annual report from SEC EDGAR — readable, searchable, and available as markdown for AI agents.

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{0}------------------------------------------------ ![](_page_0_Picture_0.jpeg) COMMONGOOD SECURITIES, LLC ORLANDO, FLORIDA FINANCIAL STATEMENTS, FORM X-17A-5, PART III, SUPPLEMENTAL INFORMATION, AND REPORTS OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM DECEMBER 31, 2022 {1}------------------------------------------------ # **COMMONGOOD SECURITIES, LLC** FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2022 ## TABLE OF CONTENTS | Form X-17A-5, Part III | 1 - 2 | |--------------------------------------------------------------------------------------------------|--------| | Report of Independent Registered Public Account Firm | 3 | | Statement of Financial Condition | 4 | | Statement of Operations | 5 | | Statement of Changes in Member's Equity | 6 | | Statement of Cash Flows | 7 | | Notes to Financial Statements | 8 - 12 | | Supplementary Information:<br>Computation of Net Capital pursuant to Rule 15c3-1 | 13 | | Statement on Exemption from the Computation for Reserve Requirements pursuant to<br>Rule 15c3-3 | 14 | | Statement on Exemption Relating to Possession or Control Requirements pursuant to<br>Rule 15c3-3 | 15 | | Exemption Report Pursuant to Rule 17a-5 of Securities and Exchange Commission | 16 | | Report of Independent Registered Public Accounting Firm on the Exemption Report | 17 | {2}------------------------------------------------ | ANNUAL REPORTS | | | | |----------------|--|--|--| | FORM X-17A-5 | | | | | PART III | | | | | FILING FOR THE PERIOD BEGINNING | | 01/01/2022<br>MM/DD/YY | AND ENDING | | 12/31/2022<br>MM/DD/YY | |-------------------------------------------------------------------|------------------------------------------------------------|------------------------------------------------------------------------------------------------------------------------|------------|-----------------|--------------------------------------------| | | | A. REGISTRANT IDENTIFICATION | | | | | NAME OF FIRM: | CommonGood Securities, LLC | | | | | | TYPE OF REGISTRANT (check all applicable boxes):<br>Broker-dealer | Check here if respondent is also an OTC derivatives dealer | Security-based swap dealer Major security-based swap participant | | | | | | | ADDRESS OF PRINCIPAL PLACE OF BUSINESS: (Do not use a P.O. box no.) | | | | | 824 Highland Ave, Suite 207 | | | | | | | | | (No. and Street) | | | | | Orlando | | FL | | | 32803 | | | (City) | (State) | | | (Zip Code) | | PERSON TO CONTACT WITH REGARD TO THIS FILING | | | | | | | Jeff Shafer | |…

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