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Is Hillary’s New CFO a Nod to Elizabeth Warren?

April 21, 2015 by Ryan Boysen

Hillary Clinton has tapped former regulatory firebrand Gary Gensler as her campaign’s chief financial officer (CFO), a move that could signal there’s bite to the populist bark her campaign has engaged in recently. As the former chairman of the CFTC from 2008 to 2013, Gensler led the charge among regulators in implementing the reforms outlined… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFO, CFTC, Dodd-Frank, Gary Gensler, Hillary Clinton, OTC derivatives, SEC

GMS Joins Misys InFusion Partner Program

April 21, 2015 by Ryan Boysen

FinTech vendor Misys has inked an agreement with Global Market Solutions (GMS) to become a member of the InFusion Partner Program, officials say. GMS provides expertise in implementation and integration projects around financial software for a range of activities, including risk management, IT architecture and others. “Global Market Solutions has many years of experience in… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFTC, Global Market Solutions, Misys, risk management, SEC

Neonet Offers Access to Oslo Børs’ Dark Pool

April 21, 2015 by Ryan Boysen

Independent broker and execution specialist Neonet has announced that it will be among the first brokers to provide its clients with access to North Sea, the re-launched dark pool functionality from Oslo Børs, Norway’s stock exchange, officials say. The service will include fully integrated direct market access (DMA), smart order routing, and algorithm support. North… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFTC, compliance, dark pools, Neonet, SEC, trade execution

Cordium Debuts Compliance Workflow Solution

April 21, 2015 by Ryan Boysen

Compliance consulting and software vendor Cordium has just launched Pilot, a new compliance workflow management system, officials say. Pilot is designed “to manage complex compliance and operational tasks from start to finish,” and thus help compliance professionals manage and keep on top of their workload, according to a company statement. Pilot centers around an interactive… Read More >>

Filed Under: General Interest, Industry News Tagged With: AML, CFTC, compliance, Dodd-Frank, FATCA, operational risk, operations, SEC

Exiger Division Hires Ex-Manhattan DA Chief of Staff

April 17, 2015 by Eugene Grygo

Exiger, a regulatory and financial crime, risk and compliance provider, has  appointed the former chief of staff for the Manhattan District Attorney’s Office Jeff Schlanger as managing director and president of Exiger Advisory, a specialized consulting division, officials say. Schlanger served District Attorney Cyrus R. Vance, Jr. and during his tenure oversaw the day-to-day operations… Read More >>

Filed Under: Industry News, People Moves Tagged With: AML, CFTC, compliance, District Attorney, Financial Crime, SEC

Ben Bernanke to Advise Citadel

April 17, 2015 by Ryan Boysen

Former Federal Reserve Chairman Ben S. Bernanke will soon be serving as an outside senior advisor for hedge fund Citadel, officials say. In this position Bernanke will consult with Citadel teams on developments in monetary policy, financial markets and the global economy. Citadel has total assets under management (AUM) of about $25 billion. “We are… Read More >>

Filed Under: Industry News, People Moves Tagged With: Bernanke, CFTC, Citadel, Federal Reserve, great recession, IRS, SEC

Fenergo’s New COO from Adobe

April 17, 2015 by Louis Chunovic

Fenergo, the Dublin, Ireland-based provider of client lifecycle management software for investment banks, capital market firms and private banks, reports the appointment of Colm Heffernan as chief operating officer (COO). Industry-veteran Heffernan joins Fenergo from Adobe Systems, “where he spent 15 years in a variety of senior roles,” according to a statement. Most recently, he… Read More >>

Filed Under: Industry News, People Moves Tagged With: AML, CFTC, compliance, EMIR, KYC, operations, SEC, SWIFT

What is the ROI for Regulatory Compliance?

April 15, 2015 by Eugene Grygo

What is the ROI for Regulatory Compliance?

Today, April 15, is the day when all Americans get a taste of what it’s like to comply with a regulatory deadline. This is the day that all personal income taxes are due to the Internal Revenue Service (IRS). Of course, extensions can be requested but every American is required by law to pay taxes…. Read More >>

Filed Under: Minding the Gap, Regulation & Compliance Tagged With: CFTC, compliance, data management, Dodd-Frank, regulatory compliance, SEC, SWIFT

SunGard Adds to U.S. Transfer Agency Services

April 14, 2015 by Louis Chunovic

SunGard reports the expansion of its transfer-agency capabilities with the addition of an “industry utility offering to its managed services suite,” according to a statement, which calls the “key catalyst” for the expansion SunGard’s “acquisition of the U.S. long funds transfer agency business from Citibank, N.A. – a transition of shareholder servicing responsibilities that reflects… Read More >>

Filed Under: General Interest, Industry News Tagged With: compliance, Dodd-Frank, funds transfer, SEC, SunGard, transfer agency

Liquid Holdings Updates Key Products

April 14, 2015 by Ryan Boysen

Cloud-based investment management solutions vendor Liquid Holdings has rolled out new several new features, such as portfolio analytics reports and redesigned dashboards, for its LiquidMobile and LiquidTrade products, officials say. LiquidTrade is the vendor’s broker-neutral order and execution management system, while LiquidMobile is a web-based portfolio and risk analytics application, officials say. The new features… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFTC, compliance, dashboards, data management, Dodd-Frank, execution management system, Liquid Holdings, order management system, portfolio analytics, SEC

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