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Last Updated: Jul 21, 2026

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Introduction to FINRA Series 7 Certification Exam

The Series 7 exam, the General Qualification Representatives Exam (GS) exam, assesses the competence of a registered representative at entry-level to exercise its function as the general representative of qualifications.

The exam measures the extent to which each candidate has the knowledge necessary to perform the essential functions of a general securities representative, including sales of corporate securities, municipal securities, investment company securities, variable annuities, direct participation programs, options, and government bonds.

Applicants must successfully complete the Securities Industry Essentials (SIE) and Series 7 exams to obtain registration from the Financial Representative General.

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How much FINRA Series 7 Certification Exam cost

The Series 7 exam is officially known as the general exam of securities representatives. It is a highly regulated exam that must be taken in an official test center. The cost to take the test is at least $ 265, with some areas in charge a little more.

Reference: https://www.finra.org/registration-exams-ce/qualification-exams/series7

What is the duration, language, and format of FINRA Series 7 Certification Exam

  • Passing score: 72%
  • Language: FINRA Series 7 offered in English (U.S.), Chinese (Simplified), Czech, Dutch, French, German, Hebrew, Italian, Japanese, Korean, Polish, Portuguese (Brazil), Russian, Spanish, and Turkish.
  • Number of Questions: 125
  • Format: Multiple choices, multiple answers
  • Length of Examination: 225 minutes

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It is well known that General Securities Representative Qualification Examination (GS) exam is an international recognition certification, which is very important for people who are engaged in the related field. The preson who pass the Series-7 exam can not only obtain a decent job with a higher salary, but also enjoy a good reputation in this industry. But it is difficult for most people to pass General Securities Representative Qualification Examination (GS) exam test. While, our General Securities Representative Qualification Examination (GS) practice questions can relieve your study pressure and give you some useful guide. We have been sparing no efforts to provide the most useful study material and the most effective instruction for our customer.

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The benefit in Obtaining the FINRA Series 7 Certification Exam

The advantage of the Series 7 license is that it allows you to sell different types of products in securities, with the exception of commodities and futures. Series 7 license is valid for the entire period you work for a FINRA member company or self-regulatory organization (SRO).

Consider if you are working for a mutual fund company as a fund manager. Mutual fund managers buy and sell shares on behalf of subscribers, based on the stated objectives and strategies of each fund they supervise. If you win Series 7 and 66 before you have enough experience to work like a mutual fund manager, enter the door of a mutual fund company as a stock market researcher or analyst, so progress in exceptional performance.

Consider if you are working as a financial advisor for a financial services company. Financial advisors work directly with individual clients in the consumer or corporate segment, rather than grouping funds from many clients such as mutual funds. Financial advisors can be paid commissions based on the different financial products they sell, or they can be paid with a fixed commission based on the dollar amount of the assets they manage. As an action-oriented consultant, look for a position that you pay yourself on a flat rate basis, as this will allow you to earn more money over time by increasing your clients' wealth. Get the Chartered Financial Planner (CFP) designation before working as a financial advisor or find a company willing to sponsor you to take the exam after your arrival on board.

FINRA Series-7 Exam Syllabus Topics:

SectionObjectives
Topic 1: Provides Information About Investments- Equities, fixed income, and packaged products
- Taxation and risk characteristics
Topic 2: Makes Recommendations and Transfers Assets- Suitability and recommendation rules
- Account transfers and asset movement procedures
Topic 3: Processes Customer Orders- Trade reporting and confirmation procedures
- Order entry, execution, and settlement basics
Topic 4: Evaluates Customers' Financial Profile- Financial status and suitability assessment
- Customer investment objectives and risk tolerance
Topic 5: Seeks Business for the Broker-Dealer- Understanding regulatory constraints on communications
- Prospecting clients and marketing products

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