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No Shortcuts Reimbursing NAV Errors Says SEC

November 22, 2016 By Chris Kentouris Leave a Comment

The US Securities and Exchange Commission’s recent $3.9 million settlement with social investment manager Calvert Investment Management highlights the operational challenges — and potential legal liabilities– faced by mutual fund companies that must equally compensate all investors for any errors in net asset value calculations . It isn’t enough to make a best effort. Fund […]

Filed Under: Compliance, Data, Financials, Investors, Slider, Standards Tagged With: Brokerage Ops, Compliance, Fund Ops, Investment Ops, Ops Risk, Regulators, SEC, 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

Bloomberg Tries Hand at Legal Entity Identifiers (Updated)

May 18, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: This article has been updated to reflect additional information received after its initial publication). Does the financial market really need another New York City-based organization issuing legal entity identifiers (LEIs)? How Bloomberg intends to compete with established providers like the Depository Trust & Clearing Corporation (DTCC), London Stock Exchange and Germany’s WMDatenservice is […]

Filed Under: Compliance, Data, Derivatives, Slider, Standards Tagged With: AML, Compliance, Data, Investment Ops, KYC, Reporting, Standards

The Derivatives ID Dilemma: Industry Accord Suggests an ISIN Solution

March 18, 2016 By Chris Kentouris Leave a Comment

Is the International Securities Identification Number (ISIN) not fit for purpose for identifying certain types of derivatives, as claimed by some partisans for other identifiers or just “concerned citizens” of the derivatives realm? Or is the only possible solution for regulatory reporting requirements a Unique Product Identifier (UPI) based on the descriptive taxonomy developed by […]

Filed Under: Clearing, Compliance, Data, Derivatives, Infastructure, Post-Trade, Slider, Standards, Trading Tagged With: Clearinghouses, Compliance, EMIR, ESMA, Fund Ops, Investment Ops, MiFID, Post Trade, Regulators, Reporting, Standards, Swaps

FINRA: Making Compliance a Way of Life

March 10, 2016 By Chris Kentouris Leave a Comment

Culture of compliance. Those three words recently uttered by the US Financial Industry Regulatory Authority (FINRA) as being one of its priorities during its exam process this year hasn’t exactly taken broker-dealers or their legal counsel by surprise. After all, broker-dealers know they have to fulfill regulatory requirements. Yet the term is generating plenty of […]

Filed Under: Compliance, Rules, Slider, Standards Tagged With: Brokerage Ops, Compliance, Fund Ops, Regulators, Standards

US Braces for Testing T+2 Preparedness (Updated)

February 26, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: After the publication of this article, DTCC published a document which outlines the testing requirements from its subsidiaries NSCC, DTC and Omgeo for impacted organizations and instruments. The paper entitled “T+2 Test Approach: DTCC’s High-Level Testing Framework” can be found here). Testing, testing, testing. That is the next critical focus for achieving a successful transition […]

Filed Under: Infastructure, Post-Trade, Settlement, Slider, Standards, Trading Tagged With: Brokerage Ops, DTCC, Fund Ops, Middle Office Ops, Post Trade, Regulators, SEC, Settlement, T+2

Johannesburg in Final Sprint to T+3 Settlement (Updated)

February 17, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: This article was updated on February 29 to reflect the JSE’s announcement on February 26 that it had selected July 11 as the go-live day for T+3.)    South Africa is in the last lap of a longstanding project to shave two days off its current five day settlement cycle, even though the […]

Filed Under: Clearing, Corporate Actions, Infastructure, Margining, Outsourcing, Post-Trade, Settlement, Slider, Standards Tagged With: Depositories, Innovation, Matching, Ops Risk, Post Trade, Settlement, Standards, T+2

KYC Onboarding: Taking a Global Centralized Approach

October 15, 2015 By Chris Kentouris Leave a Comment

Name, rank and serial number. That’s what national military organizations across the globe use to identify their members. Too bad the same simplicity can’t be used by financial firms when it comes to identifying their customers and counterparties, bemoan operations and compliance specialists. Instead financial firms must deal with a hodgepodge of regulatory requirements across […]

Filed Under: Analytics, Compliance, Data, Investors, Reporting, Slider, Standards Tagged With: Compliance, Data, FATCA, KYC, MiFID, Regulators, Reporting, Standards, UCITS

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