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TORA Releases Real-Time Stock Borrow Solution

June 2, 2015 by Eugene Grygo

Tora, a provider of trading technology services, reports the release of a stock borrow management solution integrated with prime broker eLocate platforms. The eLocate feature also is integrated with Tora’s allocation engine, which can distribute borrow across different accounts with different prime brokerages, according to a Tora spokesperson. The solution enables clients to transform an… Read More >>

Filed Under: General Interest, Industry News Tagged With: allocations, CFTC, compliance, data management, Dodd-Frank, DTCC, eLocate, operations, SEC, stock borrow, TORA

FBN Securities Picks SS&C’s MarketTrader

June 2, 2015 by Louis Chunovic

SS&C Technologies, a provider of financial services software and software-enabled services, reports that its MarketTrader will be FBN Securities’ order management system (OMS). In a statement SS&C, founded in 1986, characterizes FBN, established in 1983, as a “boutique institutional brokerage firm, which provides its clients with a variety of services including equity and derivative execution,… Read More >>

Filed Under: General Interest, Industry News Tagged With: compliance, data management, operations, OTC derivatives, SEC

Wall Street and Silicon Valley Fight for Talent

June 1, 2015 by Louis Chunovic

You might want to add Paul Revere of Wall Street to Jamie Dimon’s other titles, but it’s not the British invasion that the chairman, president and CEO of JPMorgan Chase recently warned about. “Silicon Valley is coming,” he declared in his April 8 annual letter to shareholders. “There are hundreds of startups with a lot… Read More >>

Filed Under: General Interest, FinTech Trends, Industry News Tagged With: CFTC, compliance, data management, derivatives, Dodd-Frank, Jamie Dimon, operations, OTC derivatives, quants, SEC

S&P Capital IQ Names Head of CUSIP Global Services

May 29, 2015 by Ryan Boysen

CUSIP Global Services (CGS), which produces identifying instruments and entities for the capital markets, has announced that Scott Preiss, currently CGS’s vice president and chief operating officer (COO), will replace Jim Taylor as head of the organization when he steps down on July 1. CGS is owned by S&P Capital IQ, which is itself owned… Read More >>

Filed Under: General Interest, Industry News, People Moves Tagged With: compliance, data management, Dodd-Frank, operations, performance measurement, reconciliation, SEC

ICAP SVP to Focus on New Fixed Income Products

May 29, 2015 by Ryan Boysen

Interdealer broker ICAP has appointed Ted Bragg to be its senior vice president of fixed income product initiatives in the ICAP US Securities group effectively immediately, officials say. In his new role, Bragg will be based in New York and will be responsible for “creating and developing new hybrid fixed income products for ICAP’s US-based… Read More >>

Filed Under: Derivatives Operations, General Interest, Industry News, People Moves Tagged With: CFTC, compliance, data management, Dodd-Frank, Fixed Income, ICAP, operations, OTC derivatives, SEC

Deutsche Bank’s $55M Settlement Could Boost Transparency

May 29, 2015 by Ryan Boysen

Deutsche Bank settled charges of misstating the value of a derivatives portfolio with the SEC to the tune of $55 million, the latest in a string of regulatory penalties to hit the bank that could potentially provide another nail in the coffin for the opaque processes common at major banks before the Great Recession, industry… Read More >>

Filed Under: Operational Risk, AML/Fraud/Financial Crime, Regulation & Compliance Tagged With: 8of9 Consulting, Deutsche Bank, fine, regulation, SEC

Superintendent Lawsky to Leave NYDFS

May 29, 2015 by Louis Chunovic

Benjamin M. Lawsky, the New York State Department of Financial Services’ initial superintendent of financial services, will depart the agency in late June, after four years in the post, officials confirm. The agency was created by the New York State Senate in 2011, through the merger of two predecessor agencies, the New York State banking… Read More >>

Filed Under: Industry News, People Moves Tagged With: Benjamin Lawsky, CFTC, compliance, Dodd-Frank, NYDFS, SEC

SEC Seeks to Revamp Reporting for Mutual Funds, ETFs

May 26, 2015 by Eugene Grygo

The SEC has proposed rules, forms and amendments to “modernize and enhance” the reporting and disclosure of information via investment companies and investment advisers in an effort to improve the quality of data for investors, according to the regulator. If approved, the effort will also let SEC officials more “effectively collect and use data” that… Read More >>

Filed Under: Buy-Side, Regulation & Compliance Tagged With: data, Form N-CEN, investor, Mary Jo White, portfolio, SEC

Do You Want a Robot Writing Your Reports?

May 26, 2015 by Eugene Grygo

Do You Want a Robot Writing Your Reports?

Much has been made in the mainstream media about software systems that can take lots of data (previously gathered via tedious methods) and create a wide range of prose from nonfinancial news to reports about the performance of funds. FTF News was so intrigued that we’ve put together a special report on the subject, “Will… Read More >>

Filed Under: Securities Operations, Middle-Office, FinTech Trends, Minding the Gap, Performance Measurement Tagged With: CFTC, compliance, data management, operations, performance measurement, SEC

Broadridge Acquires Business Unit from Thomson Reuters

May 26, 2015 by Eugene Grygo

Broadridge Financial Solutions has signed an agreement to acquire the Fiduciary Services and Competitive Intelligence unit from Thomson Reuters Lipper. Broadridge will integrate the Lipper capabilities within its mutual fund and retirement business, officials report. The Lipper business unit offers global market intelligence for fund industry flows by country and distribution channel, Broadridge officials say…. Read More >>

Filed Under: Mergers & Acquisitions, Industry News Tagged With: Broadridge Financial Solutions, CFTC, compliance, data management, Dodd-Frank, Lipper, SEC, Thomson Reuters

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