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Axoni Sells Veris Business Unit to LSEG

September 16, 2024 by Eugene Grygo

Axoni Sells Veris Business Unit to LSEG

Axoni, a provider of trade workflow applications and real-time data replication, has sold its Veris business and intellectual property to the London Stock Exchange Group (LSEG), which intends to maximize the business potential of the post-trade platform for equity swaps, officials say. Axoni and LSEG officials are not disclosing the financial terms for the transaction,… Read More >>

Filed Under: Derivatives Exchanges, Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Back Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Digital Transformation, Back-Office, Blockchain/DLT, Integration, Standards Tagged With: automation, back office, compliance, data management, data reconciliation, derivatives industry, equity swaps products, London Stock Exchange Group (LSEG), OTC derivatives, post-trade financial technology

T+1 Hit Home Harder Than Expected

September 10, 2024 by Faye Kilburn

T+1 Hit Home Harder Than Expected

A new survey from Citi Securities Services is lifting the lid on the widespread ramifications of North America’s recent shift to T+1 settlement, with effects rippling across the entire trade lifecycle. While the DTCC, brokers, and custodians have remained relatively quiet since the May transition, Citi’s Securities Services Evolution 2024 survey shows that 44 percent… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Industry News, Middle-Office, Operational Risk, Sell-Side, Settlement, T+1 Settlement, Digital Transformation, FinTech Trends, Back-Office, Standards, Regulation & Compliance, Regulatory Enforcement, Industry News Tagged With: automation, back office, compliance, ISITC Europe, operational risk, regulatory reporting, SEC, Securities Operations, settlement, T+1

Is the Price Tag for T+1 Edging Upward?

September 5, 2024 by Faye Kilburn

Is the Price Tag for T+1 Edging Upward?

Earlier this year, Bloomberg Intelligence (BI) estimated that the U.S. transition to T+1 settlement could cost the securities industry more than $31 billion a year, with the move reflecting “profound implications” for both the U.S. and global markets. For now, though, the full impact is still emerging, says Gerard Walsh, who leads Northern Trust‘s global… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Sell-Side Tagged With: automation, back office, compliance, data management, Securities Operations, Standards, T+1 settlement, T+1 transition, wall street

Barnett Waddingham Stays With GBST’s Upgraded ‘Composer’

August 27, 2024 by FTF News

Barnett Waddingham Stays With GBST’s Upgraded ‘Composer’

Financial technology provider GBST reports that its Composer platform will continue to support the Self-Invested Personal Pension (SIPP) administration program of professional services consultancy Barnett Waddingham via the renewal of their agreement. The London-based Barnett Waddingham is an independent professional services consultancy serving risk, pensions, investment, and insurance markets. “GBST has provided SIPP technology to… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Data Management, Hedge Fund Operations, Middle-Office, Operational Risk, Ops Automation, Digital Transformation, FinTech Trends, Integration, Standards Tagged With: automation, back office, cloud computing, cloud native, cloud-based system, compliance

State Street & Taurus to Build Digital Custody Services

August 27, 2024 by Eugene Grygo

State Street & Taurus to Build Digital Custody Services

State Street Corp. is bolstering its digital asset solutions business via an agreement with Taurus SA, a digital asset infrastructure provider, in response to institutional interest in digital assets that’s “at an all-time high,” according to the Boston-based custodian bank. The collaboration will add tokenization and digital custody services support to the custodian’s currently available… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Data Management, Operational Risk, Digital Asset Custody, Digital Transformation, FinTech Trends, Back-Office, Blockchain/DLT, Integration, Standards, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: automation, back office, blockchain, compliance, digital asset securities, Digital Assets, digital custody, distributed ledger technology (DLT), regulatory reporting, Securities Operations, Standards, tokenization

ProCap Readies Custody for 3 Digital Asset Securities

August 22, 2024 by Eugene Grygo

ProCap Readies Custody for 3 Digital Asset Securities

With the addition of Uniswap (UNI) and Arbitrum (ARB) to its custodial platform, Prometheum Ember Capital will offer custodian support for three digital asset securities, as the firm previously announced custody services for Ethereum’s ether (ETH) token. Prometheum Capital officials say the firm intends to fully launch its custodial services to institutional investors later this… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Clearing, Data Management, Hedge Fund Operations, Middle-Office, Operational Risk, Digital Asset Custody, FinTech Trends, Back-Office, Integration, Standards, Regulation & Compliance Tagged With: automation, back office, blockchain, Buy-side, CFTC, compliance, digital asset securities, digital asset securities custody, Securities Operations

ASX Sued Over Remarks About CHESS Replacement Effort

August 22, 2024 by Eugene Grygo

ASX Sued Over Remarks About CHESS Replacement Effort

The Australian Securities and Investments Commission (ASIC), the securities industry regulator for Australia, is taking exchange operator the Australian Securities Exchange (ASX) to court over allegations that ASX officials made “misleading statements related to its Clearing House Electronic Subregister System (CHESS) replacement project.” The case was filed in the Federal Court of Australia on Aug…. Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, Clearing, Corporate Actions, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Sell-Side, Settlement, FinTech Trends, Blockchain/DLT, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: Australian Securities and Investments Commission (ASIC), Australian Securities Exchange (ASX), automation, back office, compliance, data management, operational risk

FINRA Explores Remote Inspections via Pilot Program

August 6, 2024 by Eugene Grygo

FINRA Explores Remote Inspections via Pilot Program

Nearly one-quarter or 22 percent of FINRA member firms have volunteered to participate in a pilot program that would allow them to complete their inspection obligations “without an on-site visit” from a FINRA official, according to the self-regulatory organization (SRO) for U.S. broker-dealers. FINRA notes that 741 firms are participating in the initial pilot, and… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Data Management, Industry News, Digital Transformation, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Enforcement, Cybersecurity, Regulatory Compliance, Regulatory Reporting, Economic Sanctions, Industry News Tagged With: automation, back office, Buy-side, compliance, data management, Financial Industry Regulatory Authority (FINRA), inspections, Securities Operations, Standards, wall street

FIA Updates Best Practices for Credit Risk Mitigation

August 1, 2024 by Eugene Grygo

FIA Updates Best Practices for Credit Risk Mitigation

Post-trade controls, monitoring, and data collection are essential to mitigate the risk involved in the automation of exchange-traded futures, options, and centrally cleared derivatives. With the help of updated best practices, these controls can work well in conjunction with pre-trade controls to prevent credit events or unintended transactions. So says the Futures Industry Association (FIA)… Read More >>

Filed Under: Commodities Trading Operations, Derivatives Exchanges, Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Back Office, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Sell-Side, Settlement, Digital Transformation, Back-Office, Standards, Regulation & Compliance Tagged With: automation, back office, compliance, data management, derivatives industry, exchange traded funds, FIA, Futures Industry Association, settlement, Standards, wall street

FINRA Warns of Post-CrowdStrike Secondary Attacks

July 25, 2024 by Eugene Grygo

FINRA Warns of Post-CrowdStrike Secondary Attacks

Financial Industry Regulatory Authority (FINRA) officials have issued a warning that the global disruption caused by the CrowdStrike Outage could be followed by secondary attacks. “In connection to the widespread disruption, member firms should be aware they may experience secondary attacks from cyber criminals seeking to leverage this incident to carry out social engineering and… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Buy-Side, FinTech Trends, Standards, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Enforcement, Cybersecurity, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: AWS, compliance, cyber-security compliance, cyberattack, Cybersecurity & Infrastructure Security Agency, Cybersecurity Information Sharing Act of 2015, cybersecurity protection, Google Cloud Platform, Microsft Azure, Standards, wall street

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