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New Year’s Message: Pay More for OTC ISINs?

December 23, 2017 By Chris Kentouris Leave a Comment

Update 12/30/2017: This article has been updated to include more details about the DSB’s €8.8 million figure for overhead. Data, operations and vendor procurement managers whose buy- and sell-side firms need international securities identification codes (ISINs) for over-the-counter derivative contracts could end up with some bad news come January 15. Financial firms might discover they […]

Filed Under: Compliance, Infastructure, Regulations, Reporting, Slider, Trading Tagged With: Compliance, Derivatives, ESMA, FSB, Investment Ops, MiFID, Regulators, Reporting, Standards, Swaps

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

North Korea Sanctions: Tracking the Unknown Cohorts

December 8, 2017 By Chris Kentouris Leave a Comment

US President Donald Trump’s order to block any “significant financial transactions” related to North Korea is presenting US financial firms with a rigorous challenge to their anti-money laundering procedures. Trade finance, trade surveillance and other departments will have to dig far deeper into customer identities, business relationships, and transactions to protect their firms from costly […]

Filed Under: Compliance, Data, Reporting, Risk, Rules, Security, Slider Tagged With: AML, Compliance, KYC, Regulators, Reporting

EquiLend, Prime Brokers Sued: Collusion or Fair Game?

November 29, 2017 By Chris Kentouris Leave a Comment

Prime brokers harmed beneficial owners of securities by protecting their turf and sabotaging fledgling electronic securities lending platforms that could have helped buy-side firms earn more revenues from their loans. That is the claim of four US pension plans and one trading firm that have sued six mega US prime brokers and securities lending platform EquiLend […]

Filed Under: Data, Sec Lending, Slider, Trading Tagged With: Collateral, Data, DTCC, Fund Ops, Hedge Funds, Sec Lending

MiFID Challenge: Which OTC Derivatives to Report?

November 16, 2017 By Chris Kentouris Leave a Comment

To report or not to report over-the-counter derivatives under MiFID II. That is the question that compliance and regulatory reporting managers will face when it comes to deciding which trades to include in their transaction reports the day after trades are executed. The wrong answer could cost them hefty fines but finding the right answer will […]

Filed Under: Analytics, Compliance, Data, Derivatives, Reporting, Slider Tagged With: Compliance, Data, Derivatives, EMIR, ESMA, MiFID, Regulators, Reporting, Swaps

Global Network Management: Are My Assets Safe?

November 13, 2017 By Chris Kentouris Leave a Comment

Global network managers of custodian banks are redefining the word relationship when it comes to monitoring local agent banks that safekeep assets of underlying clients in multiple countries. It is no longer enough to make a sporadic visit or have a phone call. Global network managers have become detectives sifting through mounts of data to […]

Filed Under: Compliance, Custody, Data, Financials, Funds, Investments, Investors, Slider Tagged With: AIFMD, CFTC, Compliance, Custodians, Data, ESMA, FCA, FINRA, Regulators, SEC, UCITS

Artificial Intelligence: Do Risk Managers Get It?

November 8, 2017 By Chris Kentouris Leave a Comment

When it comes to artificial intelligence, investment analysts, customer service managers and compliance managers seem to agree that the technology can help them make informed decisions more quickly and reduce investment, credit and regulatory risk. What about risk managers? They don’t understand how to incorporate AI into their risk metrics or participate in the decision-making […]

Filed Under: Analytics, Data, Innovation, Investments, Investors, Risk, Slider Tagged With: AI, Data, Innovation, Investment Ops, KYC

Form N-PORT: Managers Report Big Stress

October 27, 2017 By Chris Kentouris Leave a Comment

Update 12/12/2017: Fund managers shouldn’t feel too relieved by the US Securities and Exchange Commission’s delay on when they must submit Form N-PORT. On December 8, the SEC said that fund managers can wait until April 2019 at the earliest to transmit their completed Form N-PORT to the regulatory agency’s Edgar system. However, fund managers […]

Filed Under: Analytics, Compliance, Data, Derivatives, Financing, Funds, Investments, Regulations, Reporting, Sec Lending, Slider, Uncategorized Tagged With: Collateral, Compliance, Data, Derivatives, Fund Ops, Hedge Funds, Regulators, Reporting, SEC

Middle-Office Blockchain: BNP Paribas, Broadridge

October 20, 2017 By Chris Kentouris Leave a Comment

Recent announcements of blockchain pilots from BNP Paribas Securities Services and Broadridge Financial show how distributed ledger technology continues to make inroads into the post-trade arena. Both come with claims of operational efficiencies through a single indisputable source of data that reduces the potential for processing errors. BNP Paribas Securities Services project for corporate action […]

Filed Under: Corporate Actions, Data, Innovation, Operations, Post-Trade, Sec Lending, Slider, Trading Tagged With: Blockchain, Collateral, Corporate Actions, Custodians, Data, Middle Office Ops, Post Trade, Reconciliation

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

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