FinOps

News of financial ops, regs and tech

  • Home
  • Ops
  • Tech
  • Regs
  • Contact
  • The FinOps story
  • Subscribe
  • Log In

Liquid Alt Funds: Five Tips to Survive New SEC Scrutiny

February 18, 2015 By Chris Kentouris Leave a Comment

A regulatory fine of US$50,000 might seem like a slap on the wrist for a large fund manager, but when an enforcement action from the US Securities and Exchange Commission makes its way into the agency’s press release and headlines from multiple media outlets it becomes a big concern for compliance and operations managers. In a new […]

Filed Under: Compliance, Custody, Rules, Slider, Standards, Trading Tagged With: Collateral, Compliance, Custodians, Fund Ops, Investment Ops, Regulators, SEC

Broker Dealers Beware: States Get Creative in Unclaimed Account Search

February 11, 2015 By Chris Kentouris Leave a Comment

Knock, knock. Who’s there? If a potential censure or fine from the Financial Industry Regulatory Authority or the Securities and Exchange Commission isn’t enough to motivate broker-dealers to ensure their middle and back-office operations are well oiled, perhaps an intensive audit by an unfamiliar firm sent by state regulators will be. The states’ objective: taking over billions of dollars worth […]

Filed Under: Compliance, Data, Investments, Investors, Reporting, Rules, Slider Tagged With: Brokerage Ops, Compliance, Middle Office Ops, Regulators, Reporting, SEC

Custody Network Management: The Rise of the Super Risk Manager

January 29, 2015 By Chris Kentouris Leave a Comment

Second article of our two-part series on third-party risk management. For the first article, click here. Hands-on relationship manager. System Analyst. Recruiter. Negotiator. Risk Manager. Hatchet man. Whoa! Too many job descriptions requiring far different different personalities and skills. They couldn’t possibly all be handled effectively by any single individual. These are just a some of […]

Filed Under: Compliance, Custody, Ops Risk, Post-Trade, Risk, Rules, Settlement, Slider Tagged With: AIFMD, Compliance, Custodians, Depositories, Fund Ops, Hedge Funds, Middle Office Ops, Post Trade, Regulators, UCITS

Vendor Risk Management: Financial Firms under the Gun

January 22, 2015 By Chris Kentouris Leave a Comment

First of a two-part series on third-party risk. For the second article, click here. Activities can be outsourced, liabilities can’t. Financial firms may understand the legal distinction, but when it comes to managing the risk involved with using external technology providers, they are too often falling asleep at the wheel, warn operations and IT experts. The reason: […]

Filed Under: Compliance, Data, Ops Risk, Outsourcing, Risk, Risk, Slider Tagged With: Brokerage Ops, Compliance, Fund Ops, Middle Office Ops, Ops Risk, Regulators, Reporting, SEC, Security

2015: Top Ops Goals for Surviving the Regulatory Crush

December 30, 2014 By Chris Kentouris Leave a Comment

With the beginning of 2015 just hours away, middle and back office operations specialists across the globe should count on a visit from C-level executives to set the tone for the new year. Forget about praise for all the hard work in 2014. Everyone now has to roll up their sleeves to address a host […]

Filed Under: Analytics, Compliance, Data, Ops Risk, Reporting, Risk, Risk, Rules, Slider Tagged With: Collateral, Compliance, Corporate Actions, Fund Ops, Hedge Funds, Ops Risk, Reconciliation, Regulators, Reporting, T+2

Risk Data 2015: Silos Down, Linkage Up

December 18, 2014 By Chris Kentouris Leave a Comment

Data and Risk. Besides having four letters, the two words have plenty in common based on an exhaustive list of “what’s in” and “what’s out” for 2015 released by the EDM Council, the global trade association advocating efficient enterprise data management. The profitability of financial services firms has always been based on risk analysis, and that […]

Filed Under: Analytics, Compliance, Data, Reporting, Risk, Slider Tagged With: Compliance, Data, FSB, Ops Risk, Regulators, Reporting, Risk Mgt., Standards

AIFMD Annex IV Reporting: Risk Scrutiny on Deadline

December 17, 2014 By Chris Kentouris Leave a Comment

The Alternative Investment Fund Manager Directive Annex IV. The long phrase describes at least three hundred points of reference data and other risk metrics alternative fund managers must provide regulators if they want to grab a “passport” to market their funds across European borders. That passport allows them to operate by a single set of rules, rather than […]

Filed Under: Analytics, Compliance, Data, Reporting, Risk, Risk, Slider Tagged With: AIFMD, Compliance, ESMA, Fund Ops, Hedge Funds, Regulators, Reporting, Risk Mgt.

Securities Finance Data Analysis: A Wing and a Prayer?

November 19, 2014 By Chris Kentouris Leave a Comment

Oh, what a tangled web we weave, or make that what regulators weave! If the Financial Stability Board (FSB) has its way, back-office operations executives at fund managers, custodians and broker-dealers will be working overtime to track down hoards of data on securities lending and repurchase agreements with no certainty it will be of any […]

Filed Under: Compliance, Data, Financing, Reporting, Slider Tagged With: Collateral, Compliance, Data, FSB, Regulators, Reporting

FATCA: Cost-Overruns Come With the Territory

November 14, 2014 By Chris Kentouris 1 Comment

Red might be a festive color for the approaching holiday season, except for the red ink many fund management shops are facing in cost overruns complying with the Foreign Account Tax Compliance Act (FATCA), foisted by the US Internal Revenue Services on financial institutions around the world. With the end-of-year deadline for arranging new budgets coming up fast, it […]

Filed Under: Compliance, Data, Outsourcing, Reporting, Slider Tagged With: Compliance, FATCA, Fund Ops, Regulators, Reporting

Futures Commission Merchant: Four Steps to the Right Choice

November 12, 2014 By Chris Kentouris Leave a Comment

It’s the phone call no operations manager wants to get. The trading desk just tried to execute a swap contract, and discovered that the newly hired futures commission merchant (FCM) doesn’t handle transactions in that currency. Or doesn’t accept that kind of collateral. Or isn’t a member of the necessary clearinghouse. Who’s to blame? Good question, […]

Filed Under: Clearing, Derivatives, Margining, Outsourcing, Post-Trade, Slider, Trading Tagged With: CFTC, Collateral, Dodd-Frank, Fund Ops, Investment Ops, Post Trade, Regulators, Swaps

« Previous Page
Next Page »

The FinOps story

Dear Readers,

If you are a new visitor to FinOps Report, welcome to our newsite. Beyond what you see on the home page, check out our archives for articles that thousands of readers have found useful. To our loyal readers, thanks for staying with us. We write FinOps for you.

Our goal remains constant – news you can put to work. We analyze how regulations, operations, and financial technology intersect, and we bring you expert advice to reduce your operational and regulatory risks. We don’t waste your time with the same old stories you find elsewhere. We offer you practical value that you don’t find anywhere else.

If even one FinOps article has helped you, please return the favor by subscribing. Your subscriptions fund us in providing the broadest and most detailed coverage of important topics for middle and back-office operations, compliance and fintech specialists. A subscription is $60 a year, or $15 a quarter. Click the “Subscribe” tab on any page to sign up.

Meanwhile, please stay in touch. Enroll for news alerts, if you haven’t already. And use the “Contact” page to connect directly with me. We want your story ideas and feedback, and we love hearing from you.

Chris Kentouris
Editor

Read More…

Archives

[footer_backtotop]

Copyright © 2026 FinOps · Privacy Policy