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Firms & Providers Disagree About T+1’s Rewards: Survey

October 15, 2021 by Eugene Grygo

Firms & Providers Disagree About T+1’s Rewards: Survey

Shorter settlement of U.S. equities transactions from trading day plus two days (T+2) to one day (T+1) will happen within the next five years, according to nearly half of the respondents to a global survey and study conducted by Citi Securities Services. But, beyond that point of agreement, the survey results showed that financial market… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Buy-Side, Clearing, Corporate Actions, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Outsourcing, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Digital Transformation, FinTech Trends, Back-Office, Blockchain/DLT, Integration, Standards, KYC, Regulation & Compliance, Industry News Tagged With: automation, back office, reconciliation, Securities Operations, settlement, settlement cycle, settlement date, T+0 settlement, T+1, T+2

SEC Updates Filing Fee Disclosure & Payment Methods

October 15, 2021 by FTF News

SEC Updates Filing Fee Disclosure & Payment Methods

SEC Modernizes Fee Payments     U.S. financial markets regulator, the SEC is revising “most fee-bearing forms, schedules, and related rules” and requiring companies and funds to “include all required information for filing fee calculation in a structured format,” officials announced. The regulator has “adopted amendments to modernize filing fee disclosure and payment methods” that will… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Buy-Side, Case Studies, Data Management, Middle-Office, Operational Risk, Ops Automation, Risk Management, Digital Transformation, Back-Office, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Cybersecurity, Regulatory Reporting, Industry News, People Moves Tagged With: automation, back office, BNY Mellon, Buy-side, compliance, data management, FX, FX trading, regulatory reporting, SEC, SEC filings, Securities Operations

CFTC Fines Citi in Second Swaps Reporting Case

October 8, 2021 by Louis Chunovic

CFTC Fines Citi in Second Swaps Reporting Case

The United States Commodity Futures Trading Commission has settled charges against Citibank, N.A. and Citigroup Global Markets Ltd. — two provisionally registered swap dealers, aka Citi — for allegedly “failing to comply with certain swap dealer requirements,” and for related charges of supervision failures. Specifically, the CFTC charged that those two Citi units did not… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Clearing, Data Management, Industry News, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Standards, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting Tagged With: automation, back office, CFTC, Citi, Citibank, compliance, data management, derivatives, Dodd-Frank, Legal Entity Identifier (LEI), operational risk, OTC derivatives, Securities Operations, swap data repositories (SDRs), swaps

BofA Global Research Launches Coverage of Digital Assets

October 8, 2021 by FTF News

BofA Global Research Launches Coverage of Digital Assets

BofA Research Publishes Crypto Primer   Bank of America reports the publication of an instruction and information book entitled “Digital Assets Primer: Only the first inning,” marking the start of the bank’s cryptocurrency research coverage. The bank’s head of global cryptocurrency and digital asset strategy, Alkesh Shah, led the primer’s publication, according to a BofA… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Buy-Side, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Diversity, Equity, and Inclusion (DEI), Digital Transformation, FinTech Trends, Standards, Performance Measurement, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News, People Moves Tagged With: automation, back office, Bank of America, blockchain, Buy-side, cryptocurrency, Digital Assets, hiring, People Moves, Securities Operations

Justice Department, SEC Focus on Stopping Crypto Crime

October 8, 2021 by Eugene Grygo

Justice Department, SEC Focus on Stopping Crypto Crime

Two powerful extensions of the U.S. federal government – the Department of Justice and the SEC – are gearing up to counter the fraud, scams, and abuse that are the dark side of cryptocurrencies and emerging digital assets. Lisa O. Monaco, deputy Attorney General for Justice, launched the National Cryptocurrency Enforcement Team (NCET) this week… Read More >>

Filed Under: Derivatives Operations, Securities Operations, Operational Risk, General Interest, Governance, FinTech Trends, Blockchain/DLT, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Cybersecurity, Derivatives, Regulatory Reporting, Industry News Tagged With: #BeCyberSmart, automation, bitcoin, blockchain, CFTC, compliance, cryptocurrencies, data management, Digital Assets, Financial Crime, Gary Gensler, SEC, Securities Operations, U.S. Department of Justice

DeepSee’s Mission: Unlock Trapped Data via A.I.

October 5, 2021 by Renee Caruthers

DeepSee’s Mission: Unlock Trapped Data via A.I.

Trapped data has always been the bane of the back office, and the reason so much manual processing remains in middle- and back-office roles. “For DeepSee.ai, unlocking that data is the key to success as firms look to accelerate their move toward full-scale digital transformation,” says Steve Shillingford, CEO of DeepSee. “Much of the most… Read More >>

Filed Under: Securities Operations, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Outsourcing, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Artificial Intelligence, Digital Transformation, FinTech Trends, Back-Office, Integration, Standards, KYC, Regulation & Compliance, Regulatory Reporting, Industry News Tagged With: artificial intelligence (AI), automation, back office, data management, machine learning, operations, regulatory reporting, risk management, Securities Operations

Trading Glitch Spurs CFTC Fine for Interactive Brokers

October 4, 2021 by Eugene Grygo

Trading Glitch Spurs CFTC Fine for Interactive Brokers

An electronic trading system that was not ready to receive negative crude oil futures prices and to calculate margin upon them serves as the basis for the CFTC’s recently settled case against Interactive Brokers in its role as a registered futures commission merchant (FCM). The CFTC is alleging that Interactive Brokers failed to prepare its… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Clearing, Data Management, Operational Risk, Ops Automation, Governance, KYC, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: automation, CFTC, compliance, data management, derivatives, futures contracts, OTC derivatives, regulatory reporting, Securities Operations

Fiserv Plans N.J. Hub for 2,000 New Jobs

October 1, 2021 by FTF News

Fiserv Plans N.J. Hub for 2,000 New Jobs

Berkeley Heights Is Site of New Fiserv Campus Payments and financial technology vendor Fiserv is expanding its presence in New Jersey via a new location in Berkeley Heights that will bring approximately 2,000 jobs to the area, officials say. “The planned Fiserv campus will serve as a strategic center of excellence for technology and product… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Buy-Side, Clearing, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Outsourcing, Risk Management, FinTech Trends, Back-Office, Standards, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News, People Moves Tagged With: automation, back office, Buy-side, China, data management, EMIR, employment, European Securities and Markets Authority (ESMA), HKEx, Securities Operations, UnaVista

CFTC Cracks Down on Swaps Data Noncompliance

September 30, 2021 by Eugene Grygo

CFTC Cracks Down on Swaps Data Noncompliance

The CFTC is cracking down on the alleged failures of supervisory systems and other controls that swap dealers and other swap industry participants have set up to be compliant. In particular, the regulator has just announced enforcement actions against Société Générale S.A., Mizuho Capital Markets, and the Refinitiv SEF, among others. “Swap dealer registrants must… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Clearing, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Back-Office, Integration, Standards, KYC, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: automation, back office, CFTC, compliance, data management, derivatives, Dodd-Frank, operational risk, OTC derivatives, regulation, regulatory reporting, Securities Operations, SEF, swap data repositories (SDRs), swaps, swaps data repository

RBC Capital Markets Resolves Deal-Flipping Charges

September 29, 2021 by Louis Chunovic

RBC Capital Markets Resolves Deal-Flipping Charges

The Securities and Exchange Commission has ordered RBC Capital Markets to pay “more than $800,000 to resolve charges that it engaged in unfair dealing in municipal bond offerings.” While RBC Capital Markets neither admits nor denies the SEC allegations, it has agreed to pay the financial penalty and be censured. In a related settlement, two… Read More >>

Filed Under: Operational Risk, Governance, Diversity, Equity, and Inclusion (DEI), KYC, Regulation & Compliance, Regulatory Compliance, Regulatory Reporting Tagged With: compliance, Dodd-Frank, municipal bonds, operational risk, SEC, Securities Operations

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