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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

Fund Managers: Reducing Costs of Collateral Fails

March 3, 2016 By Chris Kentouris Leave a Comment

US$3.6 million. That is the average cost a fund management firm could incur for correcting failures to settle their collateral requirements for bilateral swap transactions in 2020. The amount comes to US$2.4 million for a broker-dealer. These sobering figures, delivered in a document entitled “Implications of Collateral Settlement Fails: An Industry Perspective on Bilateral OTC […]

Filed Under: Clearing, Compliance, Derivatives, Infastructure, Margining, Post-Trade, Risk, Settlement, Slider Tagged With: Clearinghouses, Compliance, Depositories, DTCC, Fund Ops, Hedge Funds, Post Trade, Regulators, SEC, Settlement, Swaps

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

Investment Fund Transfer Agents: Forget About Monitoring Brokers

February 24, 2016 By Chris Kentouris Leave a Comment

The US Securities and Exchange Commission has the right intention in wanting to update its outdated rules for transfer agents, say investment funds transfer agents and their legal counsel, but its approach in regulating shareholder recordkeepers of buy-side firms may be flawed. Among the growing list of concerns is whether investment fund transfer agents might […]

Filed Under: Compliance, Funds, Investors, Reporting, Rules, Slider Tagged With: Brokerage Ops, Compliance, Fund Ops, Investment Ops, SEC

Syndicated Loans Market: An Evolution is Coming

February 18, 2016 By Chris Kentouris 1 Comment

Nineteen days and counting. That’s the average time it takes to settle a US syndicated loan. It’s a far cry from the two or three days for other asset classes, but fund managers, broker-dealers, agent banks and even regulators are waking up to the fact the gap must be closed to reduce risks and costs. […]

Filed Under: Compliance, Funds, Investments, Settlement, Slider, Trading Tagged With: Brokerage Ops, Fund Ops, Ops Risk, SEC, Settlement

Squeezing Market Data Costs: Why, When, Where and How

January 29, 2016 By Chris Kentouris Leave a Comment

Market data may be the life blood of financial firms, but it’s also a massive expense to them. Often quick to blame exchanges and market data vendors for overcharging them, financial firms eventually have to face the fact that the buck stops with them. If they want to reduce their data spend, they have to get their own […]

Filed Under: Analytics, Data, Slider Tagged With: Data, Fund Ops, Hedge Funds

Mutual Funds to SEC: We Can’t Swing Prices

January 26, 2016 By Chris Kentouris Leave a Comment

When proposing new rules, the US Securities and Exchange Commission often plays catch-up to the changing technological or market times. Not so when it comes to the practice of swing pricing, part of its new proposed rules for liquidity management.by US registered investment funds. Nothing short of a revolutionary change in operational capabilities would be needed […]

Filed Under: Compliance, Funds, Rules, Slider Tagged With: Fund Ops, Regulators, SEC, Valuation

US Registered Funds: Say Hello to Derivatives Risk Managers

January 21, 2016 By Chris Kentouris Leave a Comment

Must have knowledge of derivative products, risk management, compliance procedures, technology implementation and project management. An MBA or graduate degree in financial engineering is required. A certified financial analyst designation is preferred. Those are the likely employment requirements for the derivatives risk manager that many US registered investment funds will have to hire if the Securities and Exchange Commission […]

Filed Under: Compliance, Derivatives, Funds, Risk, Risk, Rules, Slider Tagged With: Compliance, Fund Ops, Investment Ops, Regulators, SEC

Fund Transfer Agents: SEC Toughening the Rules

January 18, 2016 By Chris Kentouris Leave a Comment

Providers of shareholder recordkeeping services for US mutual funds and non-equity accounts could soon face more regulatory oversight if the US Securities and Exchange Commission has its way. The SEC’s lengthy concept release issued late last year suggests that the US regulatory agency wants rules to keep up with the changing times. To that end, […]

Filed Under: Clearing, Compliance, Corporate Actions, Rules, Slider, Uncategorized Tagged With: Brokerage Ops, Compliance, Fund Ops, SEC

UK Watchdogs Put C-Level Execs on the Hotseat

January 12, 2016 By Chris Kentouris Leave a Comment

When it comes to accepting liability for regulatory wrongdoing, the top UK bank executives will no longer be able to hide behind the Queen’s royal we. As of March 6, C-level officials at UK banks and other bank-like organizations will find themselves individually liable for not only their own wrongdoing, but also for the financial […]

Filed Under: Compliance, Regulations, Risk, Rules, Slider Tagged With: AML, Compliance, Fund Ops, KYC, Regulators

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