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Legal Experts Debate Personal Liability for Chief Compliance Officers

July 2, 2021 By Chris Kentouris Leave a Comment

Chief compliance officers need a new operating model, not a new legal framework, to avoid being personally penalized unfairly by the US Securities and Exchange Commission for regulatory infractions, say some legal experts. The New York City Bar Association’s recent framework suggesting that the SEC be more understanding of the challenges faced by chief compliance […]

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

Crypto Industry to SEC: Safe Harbor for Broker Custodians Isn’t Safe

June 16, 2021 By Chris Kentouris Leave a Comment

The US Securities and Exchange Commission’s decision to give broker-dealers a five-year reprieve from any regulatory sanctions to custody digital security assets in a trial run under limited circumstances isn’t all that sound, caution some broker-dealers, cryptoasset market players, and legal experts. While praising the SEC’s effort, respondents to the SEC’s request for feedback and others discussing […]

Filed Under: Compliance, Financials, Regulations, Risk, Rules Tagged With: Blockchain, Brokerage Ops, Crypto, Data, FINRA, Investors, Regulation, SEC

Supreme Court Expert’s Decision on MoneyGram Unclaimed Checks: The Ops Effect

June 14, 2021 By Chris Kentouris Leave a Comment

Unclaimed property operations and compliance managers at banks and broker-dealers are quickly reviewing their procedures for “lost accounts” in a wake of a recent recommendation by a legal expert appointed by the US Supreme Court that Delaware must return millions of dollars worth of uncashed “official checks” issued by MoneyGram to over 20 other states. […]

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

New FX Benchmark Aims to Save Buy-Side Big Bucks

May 20, 2021 By Chris Kentouris Leave a Comment

Are we getting the best foreign exchange conversion rate?  Pension plans and other asset owners asking their fund managers that question might hear a resounding yes, but that’s not always the case as highlighted during the COVID-19 pandemic. Not all benchmarks are created equal, according to London-based Raidne, which claims it has come up with a […]

Filed Under: Compliance, Data, Funds, Regulations, Regulators Tagged With: Brokerage Ops, Compliance, Fund Ops, Innovation

NYSE Puts FINRA in Hotseat For Proxy Distribution Fee Oversight

April 17, 2021 By Chris Kentouris Leave a Comment

The issue of which self-regulatory authority will take over the job of setting the maximum fees issuers must pay broker-dealers and banks to mail proxy materials to beneficial shareholders has pitted the New York Stock Exchange against the Financial Industry Regulatory Authority. leaving proxy operations managers and corporate secretaries in a lurch. The NYSE, which […]

Filed Under: Compliance, Data, Regulations, Regulators, Rules Tagged With: Brokerage Ops, Compliance, Data, FINRA, Fund Ops, Investors, Rules, SEC, Standards

Schwab’s $1.2 M Customer Account Transfer Mistake: Now What?

April 13, 2021 By Chris Kentouris Leave a Comment

Whoops, it happened again. This time it was a software glitch that led brokerage Charles Schwab to erroneously transfer US$1.2 million from a former retail client’s account to the customer’s new brokerage account at Fidelity Brokerage Services which has left operations managers at rival brokerages scratching their heads and Schwab forced to go to court. […]

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

Rule 605 Reports: Next for Transparency Data Overhaul?

April 3, 2021 By Chris Kentouris Leave a Comment

More transparency — the mantra which has taken hold regarding Rule 606 reports — needs to make its way to Rule 605 reports, say trade execution experts and buy-side representatives who are hoping the US Securities and Exchange Commission will take action this year. US broker-dealers which forward orders to trading venues or market makers […]

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

Preventing Pesky US Treasury Settlement Fails

March 15, 2021 By Chris Kentouris Leave a Comment

For US broker-dealer operations managers failing to settle a transaction in US Treasury securities might never have been all that problematic, but with the number of fails rising dramatically during the peak of the COVID-19 pandemic one megabank–BNY Mellon– has decided to offer a preventative service in a technology partnership with Google Cloud. As the […]

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

New IDs for Digital Assets: FIGIs or ISO-Backed Codes?

February 22, 2021 By Chris Kentouris Leave a Comment

Does the financial services industry need more than one identification standard for digital assets? Can standards for identifying traditional assets even apply for the digital asset market? Those are the two questions trading, compliance and operations managers at fund management firms, custodians, exchanges, and issuers of digital tokens will soon answer now that they have […]

Filed Under: Blockchains, Compliance, Crypto, Data, Middle Office Ops, Regulators, Standards Tagged With: Blockchain, Compliance, Crypto, Data, Middle Office Ops, Regulators, Standards

Want to be AML Whistleblower? Not So Fast

January 25, 2021 By Chris Kentouris Leave a Comment

You work in the anti-money laundering department of a major bank or brokerage and overhear a conversation about how suspicious activity reports are not being filed on a particular client; how the transaction monitoring system is not working properly; or how wire transfers are being made to a country or individual on a US sanctions […]

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

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