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Affin Group Taps Bloomberg to Streamline Ops

April 9, 2025 by FTF News

Affin Group Taps Bloomberg to Streamline Ops

Officials say the Affin Group, a Malaysian banking and financial services company headquartered in Kuala Lumpur, has selected Bloomberg’s Sell-Side Order and Risk Management suite of solutions to improve workflows, strategic decision-making, and its regulatory reporting framework. The Affin Group will implement Bloomberg TOMS, a sell-side order management system (OMS), to help the company “realize operational… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Data Management, Middle-Office, Operational Risk, Ops Automation, Risk Management, Sell-Side Tagged With: Affin Group, automation, data management, Securities Operations, sell side, TOMS, wall street

Nasdaq Signs Top Thai Broker for Risk Platform

February 21, 2024 by FTF News

Nasdaq Signs Top Thai Broker for Risk Platform

The largest institutional broker in Thailand is the first Asian client of the Nasdaq Risk Platform, a service that offers a view of risk for proprietary and client trading portfolios, officials say. The new client Kiatnakin Phatra Securities (KKPS) has signed a multi-year agreement, which expands upon its Nasdaq Trade Surveillance partnership, officials say. The… Read More >>

Filed Under: Securities Operations, Back Office, Data Management, Middle-Office, Operational Risk, Risk Management, Sell-Side, Back-Office, Integration, Standards Tagged With: automation, back office, data management, risk analytics, risk management, Securities Operations, sell side

Time to Buy Not Build an OMS?

January 11, 2024 by Eugene Grygo

Time to Buy Not Build an OMS?

(Global banks and other sell-side firms face “a technological fork in the road” when it comes to order management systems (OMSes), according to a recent report, “The Future State of Global OMS,” from market research firm Datos Insights. “Sell-side firms … will need to reevaluate the value proposition of their existing OMS architecture and determine… Read More >>

Filed Under: Securities Operations, Affirmation, Allocation & Confirmation, Back Office, Industry News, Mergers & Acquisitions, Middle-Office, Operational Risk, Ops Automation, Outsourcing, Sell-Side, Digital Transformation, FinTech Trends, Back-Office, Integration, Standards, Opinion, Q&As, Regulation & Compliance, Regulatory Enforcement, Regulatory Compliance, Regulatory Reporting Tagged With: automation, back office, investment banks, OMS, operations, order management system, regulatory reporting, Securities Operations, sell side, Standards, trade execution, wall street

Adopt a Single Strategy & Functional Approach for T+1: Q&A

June 7, 2023 by Eugene Grygo

Adopt a Single Strategy & Functional Approach for T+1: Q&A

(Stephane Ritz, a managing principal at consultancy Capco, has more than two decades of experience in the administration and management of professional services for the banking, finance, and investment industries. His areas of expertise include financial accounting and taxation to business process re-engineering and IT technology implementation. Ritz specializes in leading large-scale, complex business transformations across… Read More >>

Filed Under: Securities Operations, Buy-Side, Corporate Actions, 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, Back-Office, Integration, Standards, Opinion, Q&As, Performance Measurement, KYC, Regulation & Compliance, Regulatory Reporting, Industry News Tagged With: automation, back office, Buy-side, compliance, data management, operations, Securities Operations, sell side, settlement, Standards, wall street

CAT Data Helps SEC Build Insider Trading Case

December 23, 2022 by Eugene Grygo

CAT Data Helps SEC Build Insider Trading Case

The ambitious, big data, securities transaction monitoring project known as the Consolidated Audit Trail (CAT) helped SEC officials build a case in an alleged, multi-year, insider trading scheme that yielded $47 million for the accused perpetrators, according to the SEC. “The SEC staff analyzed trading using the Consolidated Audit Trail (CAT) database to uncover [Alan]… Read More >>

Filed Under: Securities Operations, Data Management, Operational Risk, Ops Automation, Governance, Artificial Intelligence, Digital Transformation, FinTech Trends, Back-Office, Standards, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Reporting, Industry News Tagged With: automation, back office, Big Data, broker-dealer, Consolidated Audit Trail (CAT), data management, Dodd-Frank, FINRA, SEC, sell side, SRO, U.S. Department of Justice, wall street

FINRA Alleges DriveWealth Broke Regulation SHO Rules

February 4, 2022 by Eugene Grygo

FINRA Alleges DriveWealth Broke Regulation SHO Rules

FINRA, the self-regulatory organization for broker-dealers, has censured and fined DriveWealth Institutional LLC, formerly known as Cuttone & Co., $100,000 for alleged violations of Regulation SHO rules. Last February, DriveWealth Holdings, Inc. acquired Cuttone & Co. and renamed it to DriveWealth Institutional. The renamed firm “specializes in execution services for institutional and broker-dealer clients. The… Read More >>

Filed Under: Securities Operations, Buy-Side, Data Management, Middle-Office, Operational Risk, Ops Automation, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Back-Office, Integration, Standards, Performance Measurement, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Reporting Tagged With: Dodd-Frank, Eugene Grygo, fines, FINRA, OMS, Regulation SHO, SEC, Securities Operations, sell side

Sell-Side Firms Are Reviving Key Projects: SmartStream

July 2, 2020 by Eugene Grygo

Sell-Side Firms Are Reviving Key Projects: SmartStream

(Sell-side firms are reviewing and reengaging strategic projects in the wake of a pandemic that caused staff to work remotely, says Jason Ang, program manager, TLM Collateral Management, at SmartStream Technologies. This return to strategic projects amid lockdowns and re-openings means the sell side is re focusing on collateral and its importance for credit risk… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Buy-Side, Clearing, Corporate Actions, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Risk Management, Governance, Back-Office, Integration, Standards, Opinion, Q&As, KYC, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, FTF Awards Tagged With: automation, CFTC, collateral management, compliance, derivatives, FTF News Technology Innovation Awards, initial margin, OTC derivatives, regulation, Securities Operations, sell side, Uncleared Margin Rules (UMR)

CAT Helps Sell Side Boost Regulatory Ops: Q&A

May 13, 2020 by Eugene Grygo

CAT Helps Sell Side Boost Regulatory Ops: Q&A

(The Consolidated Audit Trail (CAT) was in the headlines last month as the SEC revised the CAT reporting timeline for broker-dealers due to the complications caused by the COVID-19 pandemic. The new milestones for CAT reporting in 2020 are: June 22: initial equities reporting for large broker-dealers and small broker-dealers that report to FINRA’s Order… Read More >>

Filed Under: Securities Operations, Buy-Side, Corporate Actions, Data Management, Industry News, Middle-Office, Operational Risk, Risk Management, Governance, FinTech Trends, Back-Office, Integration, Standards, Opinion, Q&As, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Regulatory Reporting, Industry News Tagged With: Big Data, Broadridge Financial Solution, compliance, Consolidated Audit Trail (CAT), data management, operations, regulatory reporting, Securities Operations, sell side

ISDA Publishes CDM Blueprint for the Industry

March 26, 2019 by FTF News

ISDA Publishes CDM Blueprint for the Industry

ISDA Wants CDM to Restructure the Market The International Swaps and Derivatives Association (ISDA) has published the “full version of the ISDA Common Domain Model (CDM) for interest rate and credit derivatives,” which ISDA officials hope will serve as “a common blueprint” for restructuring the foundations of the market. To facilitate that restructuring, ISDA will… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Securities Operations, Buy-Side, Case Studies, Clearing, Data Management, Industry News, Middle-Office, Operational Risk, Ops Automation, Risk Management, General Interest, Governance, Diversity, Equity, and Inclusion (DEI), FinTech Trends, Back-Office, Integration, Standards, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News, People Moves Tagged With: Bank Audi, BNY Mellon, Buy-side, credit derivatives, EBS, equity swaps products, FinTech Briefs, GDR, industry wide solutions, isda, Itiviti, Quant Analytics, Robert Mackay, Scott O'Malia, sell side, Seth Johnson

How to Cope With UMR Compliance: Q&A

March 26, 2019 by Eugene Grygo

How to Cope With UMR Compliance: Q&A

(Editor’s Note: Much has been made about buy-side firms and if and when they will have to comply with Uncleared Margin Rules (UMR) and key requirements of the European Union and the U.S. The industry has started to focus on the operational processes they will need in order to comply with the Basel Committee on… 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, Reconciliation & Exceptions, Risk Management, Settlement, Governance, Back-Office, Integration, Standards, KYC, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance, Regulatory Reporting, Industry News Tagged With: Buy-side, compliance requirements, initial margin, isda, Jon Anderson, margining process, OTC derivatives, Q&A, Securities Operations, sell side, Sifma, SS&C GlobeOp, uncleared derivatives, Uncleared Margin Rules

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