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US SEC Loan Reporting: Ops Cost of Transparency

January 18, 2022 By Chris Kentouris Leave a Comment

The operational and legal challenges of complying with the US Securities and Exchange Commission’s potential requirement to report information on securities loan transactions to the Financial Industry Regulatory Authority could outweigh the benefits of transparency to investors, say operations and legal experts. Instead of offering any feedback to the SEC’s proposal, some industry players asked […]

Filed Under: Risk, Sec Lending Tagged With: Brokerage Ops, Compliance, Custodians, Fund Ops, SEC, Sec Lending

LIBOR: Transition 1-2-3 in 2022

December 15, 2021 By Chris Kentouris Leave a Comment

Breakups can be messy and switching from the London Interbank Offered Rate (LIBOR) to alternative reference rates (ARRs) will be no exception for trading, operations, fintech, risk and compliance managers in 2022. An ounce of preparing next year can translate into a pound of preventing errors in 2023, caution LIBOR operations and legal experts who […]

Filed Under: Compliance, Regulations, Reporting, Rules Tagged With: Brokerage Ops, Compliance, Data, Fund Ops, Regulators, Reporting

S in ESG Stands for Supply Chain

October 19, 2021 By Chris Kentouris Leave a Comment

Do you know how green your third-party service providers are? That’s the question risk and vendor procurement managers at fund management firms, banks and broker-dealers must soon answer correctly or face reputational and regulatory consequences, say legal and data experts in environmental, social and governance policies. The vendors can be anyone from a fund administrator, […]

Filed Under: Compliance, Data, Investors, Regulators, Reporting, Rules Tagged With: Brokerage Operations, Compliance, Data, Fund Operations, Investment Operations, Regulations, Risk, SEC

Broker-Dealer Alert: Filing Suspicious Activity Reports Could Get Harder

September 20, 2021 By Chris Kentouris Leave a Comment

Anti-money laundering analysts and compliance managers at US broker-dealers may need to work a lot harder and worry a lot more before filing suspicious activity reports if Alpine Securities, a US penny stockbroker, loses its appeal to the Supreme Court over whether the Securities and Exchange Commission has the right to enforce the Bank Secrecy […]

Filed Under: Compliance, Regulations, Rules Tagged With: AML, Compliance, Data, Investors, Reporting, SEC

Uncleared Margin Rules Phase Six: Five Step SCOPE Approach

September 7, 2021 By Chris Kentouris Leave a Comment

With the fifth phase of initial margin requirements for uncleared swap transactions recently effective, collateral management and compliance managers at hundreds of fund management shops need to start preparing for the final phase of uncleared swap rules to avoid finding themselves in hot water with regulators or counterparties, warn operations and legal experts. Fund management […]

Filed Under: Compliance, Data, Margining, Regulations Tagged With: Brokerage Ops, Collateral, Compliance, Data, Derivatives. Fund Ops

Europe’s SFDR: Shades of Green Cause Ops Headache

August 12, 2021 By Chris Kentouris Leave a Comment

Non-green, light green and dark green. Investment, compliance, and legal managers at fund management shops who must classify their funds in one of those three categories under Europe’s Sustainable Finance Disclosure Regulation (SFDR) are finding the road to explaining how their investments are helping or harming the environment and society paved with good intentions but […]

Filed Under: Compliance, Data, Investors, Regulations, Rules Tagged With: Compliance, Data, Fund Operations, Investment Operations, Regulations, Regulators, SEC

Cryptomarket Rejects New Certification for Trading, Ops Execs

July 24, 2021 By Chris Kentouris Leave a Comment

Should Wall Street executives trading and processing digital securities transactions be legally required to pass licensing or mandatory in-house training programs? The answer to the question raised in a comment letter sent to the US Securities and Exchange Commission in April concerning its December 2020 framework for the custody of digital securities appears to be […]

Filed Under: Compliance, Data, Innovation, Regulations, Standards, Trading Tagged With: Blockchain, Brokerage Ops, Compliance, Crypto, Fund Ops, Hedge Funds, Regulators, SEC

Legal Experts Debate Personal Liability for Chief Compliance Officers

July 2, 2021 By Chris Kentouris Leave a Comment

Chief compliance officers need a new operating model, not a new legal framework, to avoid being personally penalized unfairly by the US Securities and Exchange Commission for regulatory infractions, say some legal experts. The New York City Bar Association’s recent framework suggesting that the SEC be more understanding of the challenges faced by chief compliance […]

Filed Under: Compliance, Regulations, Rules Tagged With: Brokerage Ops, Compliance, FINRA, Fund Ops, Regulators, SEC

Archegos Debacle Prompts Holistic Counterparty Risk Management

June 23, 2021 By Chris Kentouris Leave a Comment

The recent implosion of family office Archegos Capital Management should renew interest in counterparty risk management and the need for a holistic program, say some broker-dealer risk management experts. By JP Morgan’s estimates the fallout may have cost some prominent prime brokers, such as combined as much as US$10 billion in trading losses. Archegos’ betting […]

Filed Under: Analytics, Compliance, Data, Funds, Regulators, Risk Tagged With: Compliance, Data, Fund Ops, Investment Ops, Regulation, Risk, SEC

Supreme Court Expert’s Decision on MoneyGram Unclaimed Checks: The Ops Effect

June 14, 2021 By Chris Kentouris Leave a Comment

Unclaimed property operations and compliance managers at banks and broker-dealers are quickly reviewing their procedures for “lost accounts” in a wake of a recent recommendation by a legal expert appointed by the US Supreme Court that Delaware must return millions of dollars worth of uncashed “official checks” issued by MoneyGram to over 20 other states. […]

Filed Under: Rules, Rules, Unclaimed Tagged With: Compliance, Escheatment, Investors, Reporting

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