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Arcesium Sues SS&C: Fund Manager Access to Geneva in Limbo?

June 17, 2020 By Chris Kentouris Leave a Comment

Middle-office operations managers at alternative fund management firms accessing SS&C Technologies’ Geneva portfolio accounting system through reseller Arcesium are now caught in the crossfires of its lawsuit against SS&C Advent and its parent SS&C, with their ability to use SS&C’s Geneva portfolio accounting system possibly in question. SS&C’s Geneva platform is one of the most […]

Filed Under: Compliance, Data, Financials Tagged With: Compliance, Data, Fund Ops, Hedge Funds, Investment Ops, Investors

Fund Managers Find COVID-19 Makes Best Ex Best Effort

June 4, 2020 By Chris Kentouris Leave a Comment

Complying with “best execution” requirements is nothing new for fund managers, but some could easily end up failing to meet their fiduciary obligations this year due to circumstances beyond their control — the unprecedented market volatility and remote working generated by the COVID-19 pandemic. About a dozen operations managers at US fund management firms who […]

Filed Under: Analytics, Compliance, Data, Investments, Reporting Tagged With: Compliance, Data, Fund Ops, Investment Ops, SEC

Fair or Not: Fund Managers Face SEC’s New Valuation Rule

May 21, 2020 By Chris Kentouris Leave a Comment

Registered investment advisers might find it operationally a lot harder and a lot more expensive to value hard-to-price assets held by mutual funds if the US Securities and Exchange Commission’s proposed modernization of fund valuation practices is adopted. Appointing a chief valuation officer could become necessary to handle the laundry list of new requirements. The […]

Filed Under: Analytics, Compliance, Funds, Ops Risk Tagged With: Data, Fund Ops, Ops Risk, SEC, Valuation

OCC’s DLT for Sec Finance: Broker Reconciliations Gone?

May 19, 2020 By Chris Kentouris Leave a Comment

Securities finance operations managers at US broker-dealers clearing their securities loan deals through the Options Clearing Corp. (OCC) could soon reduce if not eliminate time-consuming manual reconciliation work thanks to its new distributed ledger technology-based platform. Once OCC’s new DLT-based securities finance infrastructure is up and running, its 72 broker-dealer users would have real-time access […]

Filed Under: Compliance, Innovation, Investors, Sec Lending Tagged With: Blockchain, Data, Middle Office Ops, Reconciliation, Regulators

Coronavirus :The Corporate Actions Side Effect

May 11, 2020 By Chris Kentouris Leave a Comment

Corporate actions analysts and operations managers working remotely during the coronavirus pandemic could unintentionally end up leaving money on the table as they scramble to deal with companies either postponing some events or changing the terms of others. That’s what Jonny Ruck, chief executive officer at London- headquartered corporate actions analytics technology firm Scorpeo is […]

Filed Under: Compliance, Corporate Actions, Investments, Investors Tagged With: Compliance, Corporate Actions, Investment Ops, Investors, Regulators

COVID-19: Addressing Return to Work Legal Quirks

May 6, 2020 By Chris Kentouris Leave a Comment

The eventual return of Wall Street’s trading and operations executives to their physical offices as the coronavirus pandemic subsides could end up being a cause for litigation and employee angst, rather than celebration, if C-suite executives don’t carefully balance profit-making with worker safety. Knowing when employees can come back to work is the easiest part […]

Filed Under: Compliance, Data, Regulators, Risk Tagged With: Compliance, Data, Regulators, Security

SEI Sues SS&C For Threatening to Shut Advent/Moxy Access

April 29, 2020 By Chris Kentouris Leave a Comment

Fund administrator SEI Global Services has sued rival SS&C Technology Holdings and subsidiary SS&C Advent for allegedly trying to put SEI out of business by cutting off its access to critical portfolio accounting technology SEI needs to service its fund manager clients. The lawsuit, filed in the US District Court in the SEI’s backyard in […]

Filed Under: Compliance, Data, Funds, Regulations Tagged With: Compliance, Data, Fund Ops, Investment Ops, Post-Trade, Regulators

CSDR: Partial Settlement Means a Full Ops Headache

April 27, 2020 By Chris Kentouris Leave a Comment

In permitting partial settlement of securiies transactions to relieve financial penalties, the new European Central Securities Depository Regulation (CSDR) will unintentionally cause fund managers, broker-dealers and others more operational grief. The CSDR is designed to harmonize the operating rules for all national European securities depositories, including using the same methodology to calculate fines when trades […]

Filed Under: Compliance, Operations, Post-Trade, Regulations, Settlement Tagged With: Compliance, Depositories, ESMA, Regulators, Settlement, Standards

Coronavirus Plagues AML Compliance Managers

April 9, 2020 By Chris Kentouris Leave a Comment

The new coronavirus pandemic is testing the ability of anti-money laundering (AML) analysts and compliance managers to adjust their methodologies and technology quickly enough to catch criminal activity. Financial firms must still conduct due diligence when onboarding customers and file suspicious activity reports (SARs) if necessary within 30 to 45 days after an alert is […]

Filed Under: Analytics, Compliance, Regulations, Rules Tagged With: AML, Compliance, KYC, Regulators, Reporting

Coronavirus: How CCOs Can Manage (Virtually)

April 3, 2020 By Chris Kentouris Leave a Comment

For chief compliance officers at financial firms, following the five Ps — prioritize, plan, protect, preserve, and paper– with the help of IT managers will become critical to ensure employees working remotely meet corporate and regulatory requirements. “Even the best designed business continuity plans likely didn’t take a global pandemic into account,” says Kristin Koloniaris, […]

Filed Under: Compliance, Data, Reporting, Rules Tagged With: Brokerage Ops, FINRA, Fund Ops, Regulations, Reporting, SEC

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