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Trump’s Iranian Sanctions: New Policing Compliance Twists

December 19, 2018 By Chris Kentouris Leave a Comment

What’s old is new again when it comes to US sanctions against Iran. Well almost, for anti-money laundering compliance managers and analysts at US banks. US President Donald Trump’s resurrection of sanctions against Iran in August and last month will force wire departments and correspondent banking units at US banks to dig deeper into the […]

Filed Under: Compliance, Data, Reporting, Risk, Rules Tagged With: AML, Compliance, Regulators, Reporting

SEC To CEOs: Keep Track of Chief Compliance Officers

December 3, 2018 By Chris Kentouris Leave a Comment

Chief compliance officers at US broker-dealers had better get used to answering a lot more questions from their chief executive officers about how well they are doing their jobs. The US Securities and Exchange Commission has just sent brokerage CEOs a subtle warning: we could hold you legally liable for failing to supervise your chief […]

Filed Under: Compliance, Regulations, Rules Tagged With: Brokerage Ops, Compliance, FINRA, Regulators, SEC

Europe’s CSDR: New Settlement Fines, New Ops Strains

November 23, 2018 By Chris Kentouris Leave a Comment

Operations, technology, legal and network managers at custodian banks and broker-dealers are starting to feel penalized when it comes to all the data collection, reconciliation and numbers crunching work they must do to pass along to their clients the new fines for settlement fails required by Europe’s Central Securities Depository Regulation (CSDR). One of the […]

Filed Under: Compliance, Data, Post-Trade, Settlement Tagged With: Compliance, Data, Regulators, Standards

US Withholding Agents Face the FATCA Music

November 6, 2018 By Chris Kentouris Leave a Comment

The US Internal Revenue Service is spreading its love for the Foreign Tax Compliance Act (FATCA) to US shores. US tax operations and corporate tax directors at US banks and broker-dealers serving as US withholding agents must now deal with the IRS’ request for more information on their compliance with FATCA. If they haven’t done […]

Filed Under: Compliance, Data, Investments, Regulations, Reporting Tagged With: Compliance, FATCA, Regulators, Reporting

FINRA: Customer Protection Applies to Digital Assets

October 26, 2018 By Chris Kentouris Leave a Comment

The US Financial Industry Regulatory Authority could soon be offering broker-dealers some badly-needed guidance on how they should handle cryptocurrencies and similar products. Industry sources tell FinOps Report that FINRA is in discussions with the Securities and Exchange Commission’s Department of Trading and Markets about FINRA crafting a regulatory notice informing broker-dealers how to apply […]

Filed Under: Compliance, Investors, Rules Tagged With: Brokerage Ops, Compliance, Crypto, FINRA, SEC

Global Network Management: Artificial Intelligence the Charm?

October 16, 2018 By Chris Kentouris Leave a Comment

For global custody network managers, analyzing the tsunami of data on dozens of local agent banks and markets to ensure the safety of client assets remains a sore spot. The use of artificial intelligence appears to be an elusive ideal, acknowledge panelists and attendees at a recent global custody event in New York hosted by […]

Filed Under: Compliance, Custody, Data, Funds, Investors Tagged With: Compliance, Custodians, Data, Regulators

IRS Creates Legal,Ops Headaches for Escheated IRAs

October 4, 2018 By Chris Kentouris Leave a Comment

(Editor’s Update on November 29, 2018): Tax operations, compliance and technology managers at US financial firms now have until January 1, 2020 to implement the Internal Revenue Service’s rule to withhold taxes on unclaimed individual retirement accounts. The IRS’ one-year extension is far less than the 18 months requested by the securities industry but provides […]

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

NY Court: Goldman’s Morse Can Sue Fidessa for Wrongful Termination

September 21, 2018 By Chris Kentouris Leave a Comment

A New York appeals court has just sent a stern warning to Wall Street, fintech and other firms: you can’t fire any of your employees simply because of who they married to or are even romantically involved with. The Appellate Division of New York’s First Department ruled that Christopher Morse, now vice president of electronic […]

Filed Under: Compliance, Financials, Risk, Trading Tagged With: Compliance, Trading

Margin: Tackling Initial Hurdle for Uncleared Swaps

September 14, 2018 By Chris Kentouris Leave a Comment

First it was variation margin. Now it is initial margin for uncleared swap transactions causing compliance, operations and financial technology managers at fund management shops angst. As of September 1, 2019 many fund managers must know whether they meet the threshold for posting initial margin, calculate it correctly and set up the right custodial contracts […]

Filed Under: Compliance, Margining, Regulations Tagged With: Compliance, Data, Derivatives, Fund Ops

NY State of Mind for Cybersecurity: Take Three

August 30, 2018 By Chris Kentouris Leave a Comment

The US Labor Day weekend won’t be a happy one for some cybersecurity compliance, technology and operations managers at New York-based banks. They will likely be scrambling to successfully implement the third phase of New York’s onerous cybersecurity rules, effective September 3.  Among the multitude  of tasks to complete under 23 NYCRR 500 encrypting data and […]

Filed Under: Compliance, Data, Regulations, Risk, Security Tagged With: Compliance, Data, GDPR, Security

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