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Cybersecurity and GDPR: the Budget Battles

April 17, 2018 By Chris Kentouris Leave a Comment

Protecting critical data will top the list of challenges chief compliance officers face over the next three years. So will figuring out how to calculate and divide the budget with their IT, risk, finance and operations peers. Chief compliance officers are responsible for protecting their firms from reputational and legal risk. They are accustomed to […]

Filed Under: Analytics, Compliance, Data, Operations, Risk, Rules, Security, Slider Tagged With: Compliance, Data, GDPR, Regulators, SEC, Security

SEC 12b-1 Fee Amnesty: Costly Ops Work

April 6, 2018 By Chris Kentouris Leave a Comment

A, B, C. Those three simple letters of the English alphabet could cause plenty of administrative grief for compliance and middle office operations managers at US mutual fund management firms over the next few months. That is, if they hope to take advantage of the Securities and Exchange Commission’s leniency program on overcharges to investors in […]

Filed Under: Analytics, Compliance, Funds, Investments, Investors, Post-Trade, Reporting, Rules, Slider Tagged With: Compliance, Fund Ops, Investment Ops, Middle Office Ops, Reporting, SEC

Unclaimed Checks: Delaware on the Hunt Again?

March 30, 2018 By Chris Kentouris Leave a Comment

Operations and compliance managers at US banks had better be prepared to defend their escheatment policies for uncashed checks and money orders to Delaware. The state could use the data it uncovers during the discovery period of a Supreme Court case involving MoneyGram’s uncashed “official checks” to dig deeper into the unclaimed property records of […]

Filed Under: Compliance, Rules, Slider, Unclaimed Tagged With: Compliance, Escheatment, Reporting

FINRA Rule 4210: Managers Beware of Margin Calls

March 20, 2018 By Chris Kentouris Leave a Comment

With less than 100 days left before new Rule 4210 of the Financial Industry Regulatory Authority becomes effective, broker-dealers aren’t the only ones that should be preparing for new margin requirements for to-be-announced (TBAs) transactions and other forward settling fixed-income trades.  Even if indirectly, investment management firms will also be in the regulatory crosshairs. Time is […]

Filed Under: Analytics, Compliance, Data, Margining, Rules, Settlement, Slider, Trading Tagged With: Brokerage Ops, Collateral, FINRA, Fund Ops, Settlement

FINRA New Ops Certification: Two Exams Better?

March 12, 2018 By Chris Kentouris Leave a Comment

What is the difference between a stock, a bond, a derivative, an exchange-traded fund and other financial products? What are customer suitability rules, margin rules and custody rules? These might sound like simple questions, but for US brokerage operations managers who must abide by changes in test formats imposed by the US Financial Industry Regulatory Authority […]

Filed Under: Compliance, Operations, Post-Trade, Slider, Standards Tagged With: AML, Brokerage Ops, Compliance, FINRA, KYC, Middle Office Ops, Post Trade, Standards

You’ve Been Hacked! What Do You Say?

March 2, 2018 By Chris Kentouris Leave a Comment

juno temple nude Alaia Getting hacked is not only expensive in remediation costs and reputational damage. Now public corporations could also face regulatory penalties if they don’t explain the breach the right way and quickly. US compliance managers, legal counsel and IT managers of public firms need to devise a strategy for who tells whom, […]

Filed Under: Compliance, Investors, Reporting, Security, Slider Tagged With: Compliance, Reporting, SEC, Security, Valuation

KYC: Beneficial Owner Rules Looming

February 20, 2018 By Chris Kentouris Leave a Comment

In the last 11 weeks before the US Financial Crimes Enforcement Network’s new rules on tracking beneficial ownership of customers take effect, financial firms need to decide how deeply they intend to dig into their customer’s shareholder base. And how they intend to do it, as the rules are not always explicit. As of May […]

Filed Under: Analytics, Compliance, Investors, Regulations, Reporting, Risk, Rules, Slider Tagged With: AML, Compliance, Fund Ops, KYC, Ops Risk, Regulators, Reporting

US T+1 Settlement: Not So Fast (Updated)

February 7, 2018 By Chris Kentouris Leave a Comment

Update (May 13, 2018): Come late 2019, bank and broker-dealer members of the US Depository Trust & Clearing Corp. could look forward to reducing their settlement exposures by one day while retaining the current two-day settlement cycle. DTCC now says that US trades could be settled before the market opens on T+2 instead of the […]

Filed Under: Infastructure, Post-Trade, Sec Lending, Settlement, Slider, Trading Tagged With: Custodians, DTCC, Investment Ops, Matching, Post Trade, SEC, Settlement, Standards, T+2

SEC to Fund Admins: No Proof, No NAV

January 31, 2018 By Chris Kentouris Leave a Comment

The US Securities and Exchange Commission has just warned fund administrators they can’t take the word of a fund manager when calculating the net asset value (NAV) of an investment fund. When explaining its recent US$561,000 fine against Gemini Fund Services, the US regulatory agency says that when assigning an NAV to a mutual fund, […]

Filed Under: Compliance, Investments, Investors, Outsourcing, Rules, Slider, Standards Tagged With: Compliance, Fund Ops, Reconciliation, SEC, Standards, Valuation

Central Clearing for US Treasuries: Pipedream or Reality?

January 25, 2018 By Chris Kentouris Leave a Comment

The have and have-nots. That is how operations and compliance executives at some fund management firms speak about the bifurcated system for how trades in US Treasuries clear. Fund managers tell FinOps Report they want a level playing field with broker-dealers. That means that buy-side trades in US Treasuries, such as bills, notes and bonds, […]

Filed Under: Clearing, Investments, Post-Trade, Risk, Slider, Trading Tagged With: DTCC, Fund Ops, Post Trade, Settlement

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