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Blockchain for US Settlement: Three, Two, One, Takeoff? (Update)

August 31, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: On Sept 14 itBit announced that its flagship Bankchain and other post-trade projects would be run out of a new firm Paxos with the same management. The former itBit, would be a division of Paxos, and continue to operate its crypto-currency trading platform).    If US blockchain afficionados have their way, the technology […]

Filed Under: Clearing, Innovation, Post-Trade, Risk, Settlement, Slider, Trading Tagged With: Blockchain, Brokerage Ops, Clearinghouses, Compliance, Depositories, DTCC, FCA, Innovation, Investment Ops, Matching, Post Trade, Regulators, SEC, T+2

New TBA Margin Rules: Fund Managers, Brokers Retrench

August 4, 2016 By Chris Kentouris Leave a Comment

Asset managers and broker-dealers will have to revamp some of their relationship terms, as well as those with the underlying investors, to meet the pending margin requirements for to-be-announced (TBA) transactions and other forward-settling fixed-income transactions. Panelists and attendees at a recent afternoon conference held by the Securities Industry and Financial Market Association about the Financial Industry […]

Filed Under: Analytics, Compliance, Derivatives, Margining, Risk, Slider, Trading Tagged With: Brokerage Ops, Collateral, Compliance, FINRA, Fund Ops, Investment Ops, Regulators

Hedge Funds to Prime Brokers: Getting to Yes

June 16, 2016 By Chris Kentouris Leave a Comment

Once in the catbird’s seat when picking prime brokers, hedge fund managers are now faced with doing their own sales jobs. They have to persuade prime brokers to accept them as clients with expectations that align. With prime brokers becoming far more selective, hedge fund managers might not get their first choice of prime brokers or […]

Filed Under: Financing, Outsourcing, Post-Trade, Slider, Trading Tagged With: Brokerage Ops, Fund Ops, Hedge Funds, Investment Ops, Outsourcing, Post Trade

RIAs: Hail to the Chief Valuation Officer?

June 14, 2016 By Chris Kentouris Leave a Comment

Chief valuation officers could become just as important as chief compliance officers for registered investment fund managers. They also might discover that, like chief compliance officers, the position may carry personal risk of bruising regulatory penalties. The emergence of this new C-class executive was predicted by panelists at a recent global fund valuation forum co-hosted in New […]

Filed Under: Analytics, Compliance, Derivatives, Investments, Outsourcing, Risk, Rules, Slider, Trading Tagged With: Compliance, Fund Ops, Investment Ops, Outsourcing, Regulators, SEC, Standards, Valuation

Clearing the Decks for Uncleared Swaps Margins

May 27, 2016 By Chris Kentouris Leave a Comment

Asset managers might not be affected by the new margin requirements on uncleared swap transactions for at least a year. Nonetheless, they are slowly starting to prepare for the inevitable legal and operational teething pains. US banking regulators and the Commodity Futures Trading Commission (CFTC) have decided that effective September 2016 or March 2017, depending on […]

Filed Under: Analytics, Compliance, Derivatives, Margining, Rules, Slider Tagged With: Brokerage Ops, CFTC, Collateral, Custodians, Depositories, Fund Ops, Investment Ops, Outsourcing, Regulators, Swaps

Bloomberg Tries Hand at Legal Entity Identifiers (Updated)

May 18, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: This article has been updated to reflect additional information received after its initial publication). Does the financial market really need another New York City-based organization issuing legal entity identifiers (LEIs)? How Bloomberg intends to compete with established providers like the Depository Trust & Clearing Corporation (DTCC), London Stock Exchange and Germany’s WMDatenservice is […]

Filed Under: Compliance, Data, Derivatives, Slider, Standards Tagged With: AML, Compliance, Data, Investment Ops, KYC, Reporting, Standards

Research Payments in Europe: Can CSAs Survive?

May 16, 2016 By Chris Kentouris Leave a Comment

Asset managers of European funds may be breathing a sigh of relief thinking that European regulators will allow them to keep their commission sharing agreements (CSAs) to pay for research they use to make investment decisions for their clients. The reality is not so simple. As currently implemented, the CSAs may not comply with all […]

Filed Under: Analytics, Compliance, Data, Investors, Rules, Slider Tagged With: Brokerage Ops, Compliance, Data, ESMA, Fund Ops, Investment Ops, Standards

Panama Papers Fallout: Heavier KYC/AML Burden(Updated)

May 5, 2016 By Chris Kentouris Leave a Comment

(Editor’s Note: After this article went to press, the US Treasury said it had adopted a rule requiring banks, broker-dealers, mutual funds, futures commission merchants and introducing brokers in commodities to collect and verify information on beneficial owners. The Treasury also sent to Congress legislation to approve requiring that companies formed in the US file […]

Filed Under: Compliance, Data, Financials, Funds, Investors, Outsourcing, Reporting, Slider Tagged With: AML, Brokerage Ops, Compliance, Data, FATCA, Fund Ops, Hedge Funds, Investment Ops, KYC, Outsourcing, Private Equity, SEC, Tax

New SEC Reporting Forces Big Analytic Leap for Funds

April 20, 2016 By Chris Kentouris Leave a Comment

Duration, options delta, gamma, vega. total monthly return and payoff profile. These are just a handful of the data points which mutual fund companies will be required to provide the US Securities and Exchange Commission if the regulatory agency finally adopts its new reporting rules for registered investment companies. For the SEC, the new data […]

Filed Under: Analytics, Compliance, Data, Derivatives, Financials, Funds, Investors, Post-Trade, Reporting, Sec Lending, Slider Tagged With: Compliance, Fund Ops, Investment Ops, Regulators, Reporting, SEC

New EU Insider Trading Rules Challenge: How to Monitor Intent?

April 12, 2016 By Chris Kentouris Leave a Comment

No harm, no foul. That is the premise of how regulators typically work when it comes to deciding whether to fine a firm for wrongdoing. However, when it comes to new European regulations prohibiting insider trading and market manipulation, that will soon no longer be the case. The new European Market Abuse Regulation (MAR), effective […]

Filed Under: Analytics, Compliance, Risk, Rules, Slider, Trading Tagged With: Compliance, FCA, Investment Ops, Regulators, Standards

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