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Automation

T+1 in Canada: Same Goal, Different Plays

November 30, 2023 by Guest Contributor

T+1 in Canada: Same Goal, Different Plays

Canada and the U.S. have shared a common standard securities settlement cycle for longer than most in the industry today can remember. Industry participants in both countries successfully moved from a standard cycle of five to three business days after trade date (from T+5 to T+3) in 1995 and from T+3 to T+2 in 2017.

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KYC

Some Pointers On Picking New IT Providers

November 20, 2023 by Guest Contributor

Some Pointers On Picking New IT Providers

As financial services firms work to create efficiencies in the performance measurement and client reporting teams, there are some fundamental questions that need to be addressed from an information technology (IT) management perspective. These questions also apply to all IT systems that support other facets of securities operations. Firms need to be sure to include

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KYC

How the Unique Transaction Identifier Solves Post-Trade Challenges

October 17, 2023 by Guest Contributor

How the Unique Transaction Identifier Solves Post-Trade Challenges

Securities settlement fails are costing the industry billions in operational overheads and fees today. This is only intensifying under the Central Securities Depositories Regulation (CSDR) Settlement Discipline Regime in Europe and shortening settlement cycles. With the deadline for T+1 settlement implementation coming up on May 28, 2024, in the U.S., solving post-trade frictions that get

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KYC

Turning Margining Challenges into Solutions

July 30, 2021 by Guest Contributor

Turning Margining Challenges into Solutions

(Editor’s Note: In this guest post for the Bull Run, Varqa Abyaneh, chief product officer from Quantile Technologies Ltd. focuses on industry participants grappling with the costs of funding multiple margin requirements globally.) Designed to improve the safety and stability of markets, regulation inevitably increases the cost of trading. Participants are still expected to deliver

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Automation

Time to Automate Performance Reporting for Clients & Prospects

February 27, 2018 by Guest Contributor

Time to Automate Performance Reporting for Clients & Prospects

I am looking forward to my participation in the Performance Measurement Americas (PMA) 2018 panel discussion entitled “Time for Full Automation,” which will take place Friday, March 9, at 12:05 p.m. at The Westin New York at Times Square, 270 W 43rd St., New York, NY 10036. Putting automation around the calculation of investment performance

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Back-Office

Why Optimal Performance Attribution Technology Matters

September 13, 2017 by Guest Contributor

By Jacopo Trombetta, client reporting & performance specialist at Impax Asset Management. In a competitive market environment, retaining and growing client relationships is critical and it requires clear and transparent attribution analysis to help clients fully understand a portfolio’s return. This is one of the reasons why performance attribution has become an increasingly valuable instrument, not only

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Compliance

The Next Step in the Global Legal Entity Identifier System: Data on Who Owns Whom

July 20, 2016 by FTF News

By Karla McKenna, Head of Standards at Global Legal Entity Identifier Foundation (GLEIF) The Global Legal Entity Identifier (LEI) System is designed to ultimately help answer three questions: Who is who? Who owns whom? And who owns what? In other words, the publicly available LEI data pool can be regarded as a global directory, which

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Back-Office

The Unknown Knowns of Vendor Risk

July 19, 2016 by FTF News

Guest Contributor: David Bates, Citisoft A few years ago I was intrigued by the Rumsfeld documentary “The Unknown Known”.  Without getting into politics or views on the man himself, the idea of striving for continual awareness of what you know and don’t know along with how it influences your management strategy and risk is highly

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Back-Office

Manage Risk, Comply with Regulations and Increase Alpha with an IBOR

February 12, 2014 by Maureen Lowe

Manage Risk, Comply with Regulations and Increase Alpha with an IBOR

Guest Contributor:  David Kubersky, President and Managing Director, SimCorp North America Fragmented position-keeping across the trade lifecycle presents significant risks to buy-side firms. As the SimCorp Journal paper, “The Investment Book of Record: One Version of Truth from Front- to Back-Office,” explains, “When investment processes and asset classes are supported by multiple systems across the

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Data Management

Establishing a Blueprint for Regulatory Change in Europe

August 7, 2013 by Sarah Hathaway

Establishing a Blueprint for Regulatory Change in Europe

Guest Contributor:  Michael Sits, head of business consulting, SunGard’s Capital Markets The potential impact of regulatory reform on financial firms’ business models has never been greater. Short selling, EMIR, CRD IV, MiFID and MAD revision are only a few of the new pieces of European legislation. Tackling each one in isolation could result in a

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