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FINRA’s CARDS: Time to Get Ready

May 25, 2014 By Chris Kentouris Leave a Comment

The US Financial Industry Regulatory Authority’s proposal to collect megatons of customer account information is far from being implemented, but behind the scenes, operations, technology and data management specialists are rushing to make the necessary preparations for the first phase expected in 2015. The reason: despite all the lobbying against the initiative coined CARDS, short for […]

Filed Under: Compliance, Data, Reporting, Slider Tagged With: CARDS, Compliance, FINRA, Regulators, Reporting

Not in the CARDS? US Clearing Brokers Protest Customer Reporting

May 6, 2014 By Chris Kentouris Leave a Comment

A new reporting plan designed to flag possible misbehavior by US brokers, is drawing backlash from their back-office correspondent clearing firms responsible for complying. Their complaints? They run the gamut from the overwhelming costs and liabilities involved in following new rules to questions of how the Financial Industry Regulatory Authority (FINRA) is going to manage the flood of data […]

Filed Under: Clearing, Rules, Slider Tagged With: Brokerage Ops, CARDS, Compliance, Data, FINRA, Regulators, Reporting

Fund Managers and FATCA: Behind the Curve Or Just Being Prudent?

April 30, 2014 By Chris Kentouris Leave a Comment

The Foreign Account Tax Compliance Act (FATCA), which aims to help the US Internal Revenue Service catch potential tax evaders outside its radar, has always been viewed as a difficult regulation for financial firms to follow and with key deadlines close at hand some fund managers still apparently overwhelmed. They are so overwhelmed that they are massively unprepared […]

Filed Under: Compliance, Funds, Investments, Reporting, Slider Tagged With: Brokerage Ops, Compliance, FATCA, Fund Ops, Regulators, Reporting

Bad European Data Validation Rules Give Banks Reporting Jitters

April 29, 2014 By Chris Kentouris 1 Comment

It’s hard enough for bank operations and financial reporting specialists to fill out all the data points and formats required by regulators in filing mandatory documentation evidencing financial soundness. But when a major banking regulatory watchdog — the European Banking Authority — issues 290 incorrect data validation rules, the whole reporting process can go awry […]

Filed Under: Compliance, Data, Financials, Reporting, Slider Tagged With: Compliance, Regulators, Reporting

Compliance and IT Experts: Strange Bedfellows in Managing Cybersecurity Risk

April 24, 2014 By Chris Kentouris Leave a Comment

When it comes to newly heightened US regulatory oversight of cybersecurity risk, compliance directors face risks of their own. They will be on the front line when examiners from the Securities and Exchange Commission come calling to evaluate their cybersecurity programs. But to even answer the SEC’s questions, not to mention have an acceptable working program to […]

Filed Under: Compliance, Risk, Slider Tagged With: Compliance, Regulators, Security

Custodians Whammied by New US Leverage Ratios

April 22, 2014 By Chris Kentouris Leave a Comment

US regulators may be well-intentioned in mandating that eight systemically important banks maintain higher supplementary leverage ratios (SLRs) than their European peers, but for some of the world’s largest custodians their decision could spell higher costs of doing business — and a trickle down effect on fund management clients. With the new SLR requirements not taking effect […]

Filed Under: Custody, Funds, Regulations, Slider Tagged With: Collateral, Custodians, Fund Ops, Regulators

Fund Managers Tell Off US FINRA on TBA Margin Rules

April 9, 2014 By Chris Kentouris Leave a Comment

Fund managers are up in arms about new rules proposed by the US Financial Industry Regulatory Authority (FINRA) requiring the collateralization of many US-forward- settling agency mortgage-backed securities transactions, or those of similar asset classes, and their potential quick liquidation trades in a worse case scenario. While FINRA has direct oversight only over US broker-dealers, […]

Filed Under: Margining, Rules, Slider, Trading Tagged With: Collateral, Fund Ops, Regulators, Swaps

European Regulators Tell Market: Failure Not an Option

April 8, 2014 By Chris Kentouris Leave a Comment

Failing to settle or even match the details of European securities trades on time could become a lot more expensive and reputationally risky for banks, broker-dealers, and their fund manager customers, if European regulators have their way. Just how much more they will have to spend beyond the hefty internal administrative costs, and current fines […]

Filed Under: Compliance, Post-Trade, Rules, Settlement, Slider Tagged With: Brokerage Ops, Compliance, Custodians, Depositories, DTCC, Fund Ops, Matching, Post Trade, Reconciliation, Regulators, T+2

Compliance Officers: Taking the Regulatory Heat, Personally

April 1, 2014 By Chris Kentouris Leave a Comment

Chief compliance officers at financial firms have always had it tough. Working long hours to address changing regulatory, investor and internal requirements, are an accepted part of everyday life. Yet, chief compliance officers and legal experts now say that the stress is hitting closer to home on a personal level. Securities watchdogs are drawing even […]

Filed Under: Compliance, Regulations, Risk, Slider Tagged With: AML, Compliance, Dodd-Frank, FATCA, FINRA, FSB, Regulators, SEC

New Swaps Clearing Rules Trigger Services Shakedown

March 27, 2014 By Chris Kentouris Leave a Comment

Brave new ideas, especially when they are mandated by regulators, typically trigger a messy shakedown of systems and services — out with the old, in with the new with a lot of cost and waste lying by the roadside for others to benefit. Such is the case with the multi-faceted regulatory drive to squeeze potential systemic risk out […]

Filed Under: Analytics, Clearing, Derivatives, Investments, Margining, Rules, Slider Tagged With: Collateral, Fund Ops, Post Trade, Regulators, Swaps

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