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Unique Product IDs: Can the OTC-ISIN Win the Job?

October 19, 2017 By Chris Kentouris Leave a Comment

Can International Securities Identification Numbers (ISINs) become the foundation for unique product identifiers (UPIs)? The new Derivatives Service Bureau (DSB) which will allocate ISINs for over-the-counter  derivatives, appears to think so. It also thinks that it might be the organization issuing the UPIs, although it is willing to work with others. If such a scenario […]

Filed Under: Compliance, Data, Derivatives, Infastructure, Post-Trade, Reporting, Risk, Slider Tagged With: Compliance, Data, Derivatives, EMIR, ESMA, FSB, Hedge Funds, MiFID, Post Trade, Regulators, Reporting, Standards, Valuation

Morgan Stanley Fine: Lessons in Fee Recon Failures

October 13, 2017 By Chris Kentouris Leave a Comment

Futures commision merchants had better pay far closer attention to their middle office fee reconciliation process, caution operations experts. Morgan Stanley’s recent US$500,000 fine from the Commodity Futures Trading Commission (CFTC) for overbilling clients trading fees isn’t a large fine considering the FCM’s size. What is alarming is that Morgan Stanley is the fourth FCM […]

Filed Under: Compliance, Derivatives, Regulations, Slider, Standards Tagged With: CFTC, Compliance, Derivatives, Middle Office Ops, Ops Risk, Outsourcing, Reconciliation, Regulators, Standards, Swaps

IRS 871(m) Withholding Tax: No More Relief for the Weary?

October 6, 2017 By Chris Kentouris Leave a Comment

On October 2 when the US Treasury  published its announcement of eight regulations scheduled for repeal or replacement, tax operations, compliance and legal experts found a major disappointment. Despite repeated industry requests for repeal, or at least more clarity about some of its provisions, the controversial Internal Revenue Service Section 871(m) on withholding tax for US […]

Filed Under: Analytics, Compliance, Data, Derivatives, Regulations, Rules, Slider Tagged With: Brokerage Ops, Compliance, Data, Derivatives, Fund Ops, Hedge Funds, Regulators, Tax

MiFID II: Reporting on Corporate Action Decisions

September 28, 2017 By Chris Kentouris 2 Comments

Update 11/27/2017: Under MiFID II, a financial firm must still report shares received as its entitlement from a voluntary corporate action even it never explicitly told the issuer its choice of payment. On November 12, in response to an inquiry from Scorpeo Analytics, the European Securities and Markets Authority (ESMA) said that investors may intentionally […]

Filed Under: Compliance, Corporate Actions, Data, Regulations, Reporting, Slider Tagged With: Corporate Actions, ESMA, MiFID, Reporting

MiFID II and GDPR: Finding Where the Twain Must Meet

September 26, 2017 By Chris Kentouris Leave a Comment

MiFID II and GDPR project teams had better get acquainted quickly. Although the objectives of the two European regulatory measures, might sound contradictory, financial firms must find a way to accommodate both, particularly when it comes to recording phone calls. They don’t have much time to create a strategy. MiFID II becomes effective in January […]

Filed Under: Compliance, Data, Rules, Slider, Standards Tagged With: Compliance, Data, ESMA, MiFID, Regulators, Standards

ISINs for OTC Derivatives: Is Licensing an Issue?

September 25, 2017 By Chris Kentouris Leave a Comment

Update 9/25/2017: Financial firms using ANNA’s new Derivatives Service Bureau to receive ISIN codes for OTC derivatives can expect to receive rebates for overpaying far more quickly, DSB officials now say. Likewise, financial firms will also have to fork over more money if they have underpaid. Instead of waiting until the end of 2018 to recalculate […]

Filed Under: Clearing, Compliance, Data, Derivatives, Infastructure, Regulations, Reporting, Slider, Standards, Trading Tagged With: Compliance, CUSIP, Data, Derivatives, EMIR, ESMA, MiFID, Post Trade, Regulators, Reporting, Standards, Swaps

Mirror Trading: New Focus on Potential AML Violations

September 18, 2017 By Chris Kentouris Leave a Comment

When it comes to following anti-money laundering regulations, global banks typically pay the closest attention to identifying their clients and payment transfers. However, in preventing regulatory fines, monitoring mirror trading activities may be just as important for trading and AML compliance managers. So warn AML compliance experts who point to Deutsche Bank’s US$600 million fines […]

Filed Under: Compliance, Regulations, Rules, Slider Tagged With: AML, Compliance, KYC, Reporting, SEC

MiFID II: Proving Best Execution Is Data Challenge

September 13, 2017 By Chris Kentouris Leave a Comment

With the arrival of MiFID II, trade execution will no longer be solely the concern of the trading desk. It will take a village of compliance, operations, portfolio managers, IT managers and even website designers for financial firms to prove they have met the best execution requirements of the second incarnation of the Markets in […]

Filed Under: Analytics, Compliance, Data, Investments, Reporting, Slider, Trading Tagged With: Brokerage Ops, Compliance, Data, ESMA, FCA, Fund Ops, Investment Ops, MiFID, Reporting

Alt Fund Managers: What Needs to Be Fixed Before the SEC Exam

September 5, 2017 By Chris Kentouris Leave a Comment

Hedge fund and private equity fund managers top the list of firms having the most angst, when it comes to worrying about passing an exam  by the US Securities and Exchange Commission. They also are likely to have the the most work preparing for an exam. A recent survey of C-level executives conducted by compliance […]

Filed Under: Compliance, Financials, Funds, Rules, Security, Slider Tagged With: Compliance, FINRA, Fund Ops, Hedge Funds, Private Equity, Regulators, SEC

Countdown to US T+2: Five Last Minute Tips

August 30, 2017 By Chris Kentouris Leave a Comment

It’s now or never when it comes being ready for the pending two-day settlement cycle in the US. With September 5, the day T+2 becomes effective, just around the corner, operations and IT managers are taking the opportunity to verify that their front, middle and back office systems are tweaked correctly. And that their counterparties […]

Filed Under: Compliance, Corporate Actions, Funds, Infastructure, Sec Lending, Settlement, Slider, Standards, Trading, Uncategorized Tagged With: Collateral, Compliance, Corporate Actions, DTCC, Fund Ops, Matching, Middle Office Ops, Ops Risk, Post Trade, SEC, Settlement, Standards, T+2

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