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FINRA to Broker-Dealers: Are You Liquid Enough?

January 19, 2018 By Chris Kentouris Leave a Comment

Risk and financial reporting managers at clearing firms and large broker-dealers could soon have to recode their back office systems and establish new procedures.  Why? To quickly inform the Financial Industry Regulatory Authority (FINRA) whether they have a liquidity problem and report a lot more information about their financing deals. The self-regulatory agency for broker-dealers […]

Filed Under: Analytics, Compliance, Data, Financials, Reporting, Risk, Sec Lending, Slider, Uncategorized Tagged With: Brokerage Ops, Compliance, FINRA, Regulators, Reporting, SEC

SEC’s Liquidity Rule: How to Bucket Your Assets

August 16, 2017 By Chris Kentouris Leave a Comment

Highly liquid, moderately liquid, less liquid, and illiquid. Classifying securities in one of those four buckets for the first time under the US Securities and Exchange Commission’s new liquidity rule will force compliance and risk managers at US mutual funds and exchange-traded funds to implement new operational procedures by next year. “Fund managers will have […]

Filed Under: Analytics, Compliance, Data, Derivatives, Investments, Reporting, Risk, Settlement, Slider, Trading Tagged With: Compliance, Data, Derivatives, Fund Ops, Reporting, SEC, Valuation

Corlytics: Can Analytics Reduce Regulatory Risk?

August 4, 2017 By Chris Kentouris Leave a Comment

US$7.2 billion. That is what Deutsche Bank paid to the US Department of Justice this year for misleading invstors in the packaging, securitization, marketing, sale and issuance of residential mortgage-backed securities between 2006 and 2007 which contributed to the financial crisis. It might be the highest fine levied so far in 2017, but there will […]

Filed Under: Analytics, Compliance, Data, Innovation, Regulations, Risk, Risk, Slider Tagged With: Compliance, Data, Fund Ops, Regulators, SEC

MiFID II: Elaborate Exercise in Repapering

July 28, 2017 By Chris Kentouris Leave a Comment

The second incarnation of the European Markets in Financial Instruments Directive (MiFID II) adds a whole new meaning to the song lyric “Getting to know you” as financial firms and their clients tackle the new rules of onboarding. For financial firms the increased amount of required client data and documentation will prompt changes to their […]

Filed Under: Analytics, Compliance, Data, Investors, Reporting, Risk, Rules, Slider Tagged With: AML, Brokerage Ops, Compliance, EMIR, ESMA, FATCA, FSB, Fund Ops, KYC, MiFID, Outsourcing, Regulators, Reporting

(Update) Bloomberg’s FIGIs: Global Accreditation for ID Codes Next?

June 30, 2017 By Chris Kentouris 1 Comment

Editor’s Update: The ballot concerning the FIGI becoming an ISO standard has been cancelled.  On July 14, FinOps Report received confirmation from Steve Stevens, executive director of X9. “Bloomberg had requested that X9 ask the TC68 committee to withdraw the ballot from voting,” he said. “The request was agreed to by the X9 and TC68 withdrew the ballot. Since the […]

Filed Under: Compliance, Data, Derivatives, Operations, Reporting, Risk, Slider, Standards Tagged With: Data, Derivatives, EMIR, Post Trade, Regulators, Reporting, Standards, Swaps

Cybersecurity: Asset Managers Face Ratings Threat

June 19, 2017 By Chris Kentouris Leave a Comment

Regulatory fines aren’t the only thing asset managers need to worry about when it comes to ensuring they have a strong cybersecurity program in place.  A new study just released by Moody’s Investors Services about the cybersecurity preparedness of US fund management firms suggests that asset managers could face a credit ratings downgrade if they can’t protect their critical data. That data could include anything […]

Filed Under: Compliance, Outsourcing, Post-Trade, Risk, Risk, Rules, Security, Slider, Standards Tagged With: Compliance, Fund Ops, Security, Standards

New York Tightens Screws on 3rd Party Cyber-Risk

March 8, 2017 By Chris Kentouris Leave a Comment

Out of sight doesn’t mean out of mind when it comes to following New York State’s new rigorous rules on how banks must manage cybersecurity risk. Cybersecurity information security officers (CISOs), IT directors, compliance managers, legal counsel, and vendor procurement specialists will need to work together to perform due diligence on third-party vendors, negotiate new […]

Filed Under: Compliance, Outsourcing, Risk, Risk, Security, Slider Tagged With: Compliance, Data, Outsourcing, Regulators, Reporting, Security, Standards

Blockchain 2017: Regulatory Reality from FINRA

February 2, 2017 By Chris Kentouris Leave a Comment

Straight from the horse’s mouth, US broker-dealers have just been advised about the many ways their use of blockchain could impact their compliance with rules imposed by the Financial Industry Regulatory Authority (FINRA) — including recordkeeping, clearance and settlement, anti-money laundering, trade reporting and customer statements. FINRA , the US self-regulatory agency for broker-dealers, has issued a […]

Filed Under: Clearing, Compliance, Innovation, Outsourcing, Risk, Rules, Settlement, Slider Tagged With: AML, Brokerage Ops, Compliance, Data, FINRA, KYC, Ops Risk, Regulators, Reporting, SEC, Settlement

Pre-Release ADRs: More SEC Fines on the Way?

January 30, 2017 By Chris Kentouris Leave a Comment

First ITG. Who is next? That is the question fund managers and other investors are asking themselves after learning that the US Securities and Exchange Commission fined broker-dealer ITG $24.4 million for violating regulations on how it used the pre-released shares of American Depositary Receipts (ADRs). The SEC says that ITG violated Section 17(a)3 of […]

Filed Under: Compliance, Financing, Funds, Investments, Investors, Risk, Rules, Settlement, Slider, Trading Tagged With: Brokerage Ops, Collateral, Compliance, Corporate Actions, Custodians, Depositories, Fund Ops, Investment Ops, Middle Office Ops, Regulators, SEC, Settlement, Standards, Valuation

New York Raises Bar on AML and Sanctions Programs

January 19, 2017 By Chris Kentouris Leave a Comment

Some US and foreign banks with New York offices will soon face the challenge of proving that their transaction monitoring and sanctions filtering programs for catching criminal activity really work. The New York Department of Financial Services (DFS) believes that although banks and banking-regulated institutions may already have AML programs, there are still too many illegal […]

Filed Under: Analytics, Compliance, Data, Reporting, Risk, Slider Tagged With: AML, Compliance, Data, KYC, Ops Risk, Regulators, Reporting, SEC, Standards

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