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Q&A: ‘Banks have always engaged in loophole mining’

March 17, 2015 by Ryan Boysen

On March 10, the Museum of American Finance released Genealogy of American Finance, published by Columbia Business School Publishing. Written and researched by financial historians Dr. Robert E. Wright and Dr. Richard Sylla, the book explores the history of how the 50 largest American financial institutions came to be, tracing out a complex family tree… Read More >>

Filed Under: General Interest, FinTech Trends, Opinion, Q&As, Regulation & Compliance, Industry News Tagged With: CFTC, compliance, Dodd-Frank, Museum of American Finance, SEC

Our Special Report on the Key Ops Issues for 2015

March 10, 2015 by Eugene Grygo

Our Special Report on the Key Ops Issues for 2015

Making predictions about the Top Ops issues for 2015 is more challenging than you might think, given the many facets of securities operations. We began our predictions coverage at the end of 2014 by reaching out to industry analysts and participants such as Virginie O’Shea, a senior analyst with Aite Group; Tim Lind, global head… Read More >>

Filed Under: Securities Operations, Operational Risk, Risk Management, Settlement, FinTech Trends, Back-Office, Standards, Minding the Gap Tagged With: Basel III, CAT, Central Securities Depositories, CFTC, compliance, Dodd-Frank, LEI, operations, OTC derivatives, SEC, T+2, Target2-Securities

Six Derivatives Dealers Pick KYC Joint Venture

March 9, 2015 by Ryan Boysen

Markit | Genpact KYC Services, a joint venture between Markit and Genpact Ltd., has announced that six G14 derivatives dealers are implementing the centralized service aimed at streamlining the collection and management of know your customer (KYC) information, officials say. The G14 dealers that will be implementing the service are BNP Paribas, Citi, Deutsche Bank,… Read More >>

Filed Under: General Interest, Industry News Tagged With: CFTC, derivatives, Dodd-Frank, Genpact, KYC, Markit, SEC

Bolero International Opens Singapore Office

March 5, 2015 by Louis Chunovic

Bolero International Ltd., an electronic trade finance solutions provider, reports that it has opened a new office in Singapore’s Raffles Place financial district. The new office will bring Bolero “closer to corporate, logistics and financial customers based in and operating out of the region,” according to a company statement. In addition, the company is “committed… Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, compliance, data management, derivatives, Dodd-Frank, operations, SEC

Oulhadj Upped to COO of RJO

March 5, 2015 by Louis Chunovic

Chicago-based R.J. O’Brien & Associates (RJO), which describes itself as the oldest and largest independent futures brokerage and clearing firm in the U.S., reports that Jamal Oulhadj, its senior managing director and chief risk officer (CRO), has been promoted to chief operating officer  (COO) of RJO Holdings Corp., the firm’s holding company. Oulhadj, 50, has… Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, compliance, CRO, data management, Dodd-Frank, enterprise risk management, operations, RJO, SEC

Morningstar Fills Chief Innovation Officer Post

March 5, 2015 by Louis Chunovic

Morningstar, a provider of investment research, has named Matt Fellowes chief innovation officer, officials say. Fellowes, 40, also will continue to lead HelloWallet, a provider of personalized financial guidance that Morningstar acquired last year, officials say. Before founding HelloWallet in 2009, Fellowes was a fellow at the Brookings Institution, a nonprofit research and policy organization…. Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, compliance, Dodd-Frank, innovation, operations, performance measurement, SEC

SEC’s Salt Lake Regional Director to Retire

March 5, 2015 by Ryan Boysen

SEC officials have announced that Karen L. Martinez, regional director of the Salt Lake City, Utah office, will be leaving the agency and retiring this summer. Martinez joined the SEC’s Salt Lake office in 2002 as trial counsel and began supervising the office’s enforcement program in 2010 when she became assistant director, officials say. In… Read More >>

Filed Under: Industry News, People Moves Tagged With: compliance, data management, Dodd-Frank, enforcement, operations, SEC

FIMAS Consulting Appoints Head of Business Development

March 5, 2015 by Ryan Boysen

FIMAS Consulting has appointed Ralf Dreyer as a partner and acting head of business development, officials say. In his new role, Dreyer will be responsible for “further advancing FIMAS’ growth,” according to a company statement. Before joining FIMAS Dreyer was a managing principle at Wepex, a consulting firm focused on financial markets, officials say. Before… Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, compliance, operations, SEC

Fidessa Names Head of European Sell-Side Sales

March 5, 2015 by Ryan Boysen

Fidessa, the London-based electronic trading platform and services vendor, has hired Peter Holmgren as its new head of business sales for sell-side trading systems in Europe, officials say. In his new role, Holmgren will be responsible for sales across all asset classes to the European broker community, officials say. He will be based in Fidessa’s… Read More >>

Filed Under: Industry News, People Moves Tagged With: CFTC, compliance, data management, Dodd-Frank, electronic trading platform, Fidessa, SEC, sell side

Standard Chartered Execs, Board Members to Depart

February 27, 2015 by Eugene Grygo

Standard Chartered has announced “a comprehensive package of changes” to its board and executive ranks that will see the exit of Peter Sands, the current group chief executive in June of this year, bank officials say. Sands will be replaced by an American and JPMorgan veteran Bill Winters, who will be appointed as group chief… Read More >>

Filed Under: Industry News, People Moves Tagged With: AML, compliance, Dodd-Frank, New York State Department of Financial Services, SEC, Standard Chartered

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