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NY State of Mind for Cybersecurity: Take Three

August 30, 2018 By Chris Kentouris Leave a Comment

The US Labor Day weekend won’t be a happy one for some cybersecurity compliance, technology and operations managers at New York-based banks. They will likely be scrambling to successfully implement the third phase of New York’s onerous cybersecurity rules, effective September 3.  Among the multitude  of tasks to complete under 23 NYCRR 500 encrypting data and […]

Filed Under: Compliance, Data, Regulations, Risk, Security Tagged With: Compliance, Data, GDPR, Security

Europe’s CSDR: Custodians Face Reporting Headaches

August 23, 2018 By Chris Kentouris Leave a Comment

The European Central Securities Depositories Regulation (CSDR) is quickly turning into a misnomer for the legislation. Operations and IT managers at custodian banks must quickly develop new data consolidation and message reformatting workflow and technology to deliver the right information on settled and unsettled trades to local regulators in July 2019.  Given that the pan- […]

Filed Under: Compliance, Data, Reporting, Settlement, Standards Tagged With: Data, Post Trade, Reporting, Standards

CUSIP ID Codes Enter World of Blockchain

August 14, 2018 By Chris Kentouris Leave a Comment

Equities and bonds have identification numbers so why not tokenized asset offerings (TAOs). That’s the premise of a new agreement between blockchain startup Templum Markets and CUSIP Global Services (CGS) whose goal is to promote liquidity and post-trade operational efficiency for TAOs. North America’s national numbering agency will now issue CUSIPs or nine-digit alphanumeric codes […]

Filed Under: Compliance, Data, Standards Tagged With: Data, Post Trade, Reporting, Standards

BofAML’s Fake Trade Reports: Governance Breakdown?

July 11, 2018 By Chris Kentouris Leave a Comment

How could Bank of America Merrill Lynch get away with giving institutional customers phony trade execution, transaction cost analysis and expense reports for five years? Ten brokerage operations and IT managers contacted by FinOps Report can only speculate after reading the scant details in separate settlement reports issued by the Office of the Attorney General […]

Filed Under: Compliance, Data, Post-Trade, Reporting, Slider, Standards Tagged With: Brokerage Ops, Compliance, Data, Post Trade, Reconciliation, Regulators, Reporting, SEC, Standards

GDPR: Final Call for US Asset Managers

June 8, 2018 By Chris Kentouris Leave a Comment

Does Europe’s General Data Protection Regulation (GDPR) apply to me? If compliance and operations managers at US asset management firms are asking themselves that question, they are already in hot water. They should have started data mapping and amending their contracts with third-party service providers such as fund administrators and transfer agents, say data privacy […]

Filed Under: Compliance, Data, Regulations, Rules, Slider, Uncategorized Tagged With: Compliance, Data, Fund Ops, GDPR

Striking an NAV: Fund Managers’ Contingency Options

May 11, 2018 By Chris Kentouris Leave a Comment

(Editor’s Update on December 5, 2018: US fund managers are getting serious about striking back-up NAVs on their own. Milestone Group tells FinOps Report that it has nabbed two top-tier US headuartered fund managers to use its pControl Oversight platform to monitor their fund administrators and  to strike back-up NAVs in-house, instead of relying on […]

Filed Under: Compliance, Data, Financials, Funds, Investments, Outsourcing, Reporting, Slider Tagged With: Compliance, Data, Fund Ops, Hedge Funds, Middle Office Ops, Outsourcing, Reconciliation, Reporting, SEC, Valuation

Cybersecurity and GDPR: the Budget Battles

April 17, 2018 By Chris Kentouris Leave a Comment

Protecting critical data will top the list of challenges chief compliance officers face over the next three years. So will figuring out how to calculate and divide the budget with their IT, risk, finance and operations peers. Chief compliance officers are responsible for protecting their firms from reputational and legal risk. They are accustomed to […]

Filed Under: Analytics, Compliance, Data, Operations, Risk, Rules, Security, Slider Tagged With: Compliance, Data, GDPR, Regulators, SEC, Security

FINRA Rule 4210: Managers Beware of Margin Calls

March 20, 2018 By Chris Kentouris Leave a Comment

With less than 100 days left before new Rule 4210 of the Financial Industry Regulatory Authority becomes effective, broker-dealers aren’t the only ones that should be preparing for new margin requirements for to-be-announced (TBAs) transactions and other forward settling fixed-income trades.  Even if indirectly, investment management firms will also be in the regulatory crosshairs. Time is […]

Filed Under: Analytics, Compliance, Data, Margining, Rules, Settlement, Slider, Trading Tagged With: Brokerage Ops, Collateral, FINRA, Fund Ops, Settlement

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

FINRA to Broker-Dealers: Justify Order Routing Perks

December 11, 2017 By Chris Kentouris Leave a Comment

Brokerage compliance managers might have to scale back their holiday plans. The US Financial Industry Regulatory Authority (FINRA) is revisiting broker-dealer order routing, and it wants answers by the end of this month. Last month, the self-regulatory agency for broker-dealers sent an undisclosed number of broker-dealers a request for detailed information on how they quantify […]

Filed Under: Analytics, Compliance, Data, Investors, Rules, Slider, Trading, Uncategorized Tagged With: Brokerage Ops, Compliance, FINRA, SEC

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