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New TBA Margin Rules: Fund Managers, Brokers Retrench

August 4, 2016 By Chris Kentouris Leave a Comment

Asset managers and broker-dealers will have to revamp some of their relationship terms, as well as those with the underlying investors, to meet the pending margin requirements for to-be-announced (TBA) transactions and other forward-settling fixed-income transactions. Panelists and attendees at a recent afternoon conference held by the Securities Industry and Financial Market Association about the Financial Industry […]

Filed Under: Analytics, Compliance, Derivatives, Margining, Risk, Slider, Trading Tagged With: Brokerage Ops, Collateral, Compliance, FINRA, Fund Ops, Investment Ops, Regulators

Catching an Insider Data Thief

July 29, 2016 By Chris Kentouris Leave a Comment

Ten percent of employees will never commit a crime, ten percent of employees will, while 80 percent will only do so if the opportunity arises, predict fraud experts. It is that opportunity which asset management firms need to prevent through a combination of compliance controls and technology, say panelists and attendees at a recent symposium […]

Filed Under: Compliance, Data, Financials, Funds, Investors, Operations, Regulations, Risk, Security, Slider, Trading, Uncategorized Tagged With: Compliance, Data, Fund Ops, SEC, Security

Transfer Agents, DTC Still Chilly On Issuer Freeze Policies (Updated)

July 8, 2016 By Chris Kentouris Leave a Comment

(Editor’s note: On December 6, 2016 the SEC finally published its acceptance of DTC’s rule changes affecting how it will impose chills and locks on US corporate issuers. The agency’s decision marks the end of a contentious debate between DTC, issuers and their transfer agents. Still, reservations remain. “The vast majority of the new rules […]

Filed Under: Compliance, Financials, Infastructure, Investors, Risk, Rules, Slider, Trading Tagged With: Compliance, DTCC, FINRA, SEC, Standards, Valuation

Fund Operations Managers Weather UK’s Brexit Storm

June 30, 2016 By Chris Kentouris Leave a Comment

While the UK and European Union leaders will have two years to come up with a gameplan for how the UK will separate from the European Union, middle and back-office operations professionals at fund management shops are taking it one day at a time during extreme market volatility. The UK’s legal limbo has caused higher trading […]

Filed Under: Corporate Actions, Funds, Infastructure, Investments, Investors, Margining, Post-Trade, Rules, Settlement, Slider, Standards, Trading Tagged With: AIFMD, Collateral, Compliance, Corporate Actions, Depositories, EMIR, ESMA, Fund Ops, MiFID, Reporting, Settlement, Standards, T+2

AML De-Risking: Regulators Warn No Big Brooms

June 28, 2016 By Chris Kentouris 2 Comments

Regulators on both sides of the Atlantic are putting banks in a Catch-22 of established regulatory penalties for serving financial criminals while simultaneously warning them that cleaning house by category will attract their attention. Recent announcements by the UK’s Financial Conduct Authority (FCA) and the US Office of the Comptroller of the Currency (OCC) suggest that banks better […]

Filed Under: Compliance, Financials, Investors, Risk, Slider, Standards Tagged With: AML, Compliance, FCA, KYC, Regulators

SEC to Fund Administrators: You Are Liable for Client Fraud (Updated)

June 22, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: On July 25, 2016 Apex Fund Services announced two hires for compliance. It appointed Nitin Khanapurkar as global head of risk and compliance oversight. Apex’s Luxembourg unit tapped Sonja-Maria Hilkhuijsen as head of European compliance and data protection. Khanapurkar was previously senior partner at KPMG while Hilkhuijsen was chief compliance and data protection […]

Filed Under: Compliance, Financials, Funds, Investments, Investors, Outsourcing, Post-Trade, Slider, Standards Tagged With: Compliance, Hedge Funds, Outsourcing, Regulators, SEC, Valuation

RIAs: Hail to the Chief Valuation Officer?

June 14, 2016 By Chris Kentouris Leave a Comment

Chief valuation officers could become just as important as chief compliance officers for registered investment fund managers. They also might discover that, like chief compliance officers, the position may carry personal risk of bruising regulatory penalties. The emergence of this new C-class executive was predicted by panelists at a recent global fund valuation forum co-hosted in New […]

Filed Under: Analytics, Compliance, Derivatives, Investments, Outsourcing, Risk, Rules, Slider, Trading Tagged With: Compliance, Fund Ops, Investment Ops, Outsourcing, Regulators, SEC, Standards, Valuation

T. Rowe Price Investor Payback: The Unpushed Button

June 10, 2016 By Chris Kentouris Leave a Comment

For fund managers, proxy voting isn’t a minor housekeeping matter. Depending on just how financially controversial the corporate agenda is, the vote can be as crucial to the health of investor portfolios as any trading decision. There is plenty of regulatory rulemaking to keep everyone’s eye on the ball so when something goes awry, it’s big […]

Filed Under: Compliance, Funds, Ops Risk, Rules, Slider Tagged With: Corporate Actions, Fund Ops, Ops Risk, SEC, Standards

Bloomberg Takes on KYC Onboarding for Hedge Funds

June 7, 2016 By Chris Kentouris Leave a Comment

With its new offering called Entity Exchange, Bloomberg is trying to take a bite out the market share — especially among hedge fund managers — of the existing utilities for automating know-your-customer requirements. Its strategy: give the buy side more control. Regulators require financial firms to know just who they are doing business with before they […]

Filed Under: Compliance, Data, Derivatives, Financials, Risk, Rules, Slider Tagged With: Brokerage Ops, Compliance, Data, DTCC, FATCA, Fund Ops, Hedge Funds, Innovation, KYC, SEC

Still Holes in New Tax Code for Equity Derivatives?

June 2, 2016 By Chris Kentouris Leave a Comment

Foreign fund managers, prime brokers, broker-dealers and banks entering into US equity derivative transactions are facing a taxing operational challenge. Worse, at this point it isn’t entirely clear how it will work. After the US Congress passed enabling legislation in 2010 and the Internal Revenue Service floated several proposed versions of the rules to massive industry […]

Filed Under: Analytics, Compliance, Derivatives, Funds, Rules, Slider, Trading Tagged With: Brokerage Ops, Compliance, FATCA, Fund Ops, Regulators, Swaps, Tax

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