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Goldman Sachs Settles ISDAFIX Woes for $120M

January 5, 2017 by Louis Chunovic

Wall Street giant Goldman Sachs will pay a $120 million fine for manipulating and making false reports concerning the U.S. dollar International Swaps and Derivatives Association fix (USD ISDAFIX), a global benchmark for interest rate products, say CFTC officials in an order simultaneously filing and settling charges against the Goldman Sachs Group, Inc. and Goldman,… Read More >>

Filed Under: Derivatives Operations, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: CFTC, fines, fraud, Goldman, isda, ISDAFIX, swaps

JPMorgan Services Fannie Mae’s MBS Holdings

November 29, 2016 by Eugene Grygo

JPMorgan Services Fannie Mae’s MBS Holdings

JPMorgan Provides Trade Processing, Settlement and Recs Services  Investment banking giant JPMorgan is supporting Fannie Mae’s mortgage-backed securities (MBS) holdings via the firm’s custody and fund services platform, bank officials say. JPMorgan officials say the bank has “successfully transitioned” for safe-keeping and settlement services for collateral backing Fannie Mae-issued MBS held in their Collateral Trust… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Securities Operations, Buy-Side, Industry News, Ops Automation, Reconciliation & Exceptions, Settlement, FinTech Trends, Back-Office, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: automation, CFTC, collateral management, Fannie Mae, IHS Markit, isda, JPMorgan, settlement, swaps

Blockchain Project Tests Post-Trade Ops for Swaps

October 19, 2016 by Eugene Grygo

Barclays, Citi, Credit Suisse and JPMorgan with the help of Axoni and other vendors have been successfully testing since June post-trade processes based on blockchain/distributed ledger technologies and smart contracts that support over-the-counter (OTC) equity swaps. “Industry collaboration is key in driving blockchain innovation and Barclays is keen to remain at the forefront of this,”… Read More >>

Filed Under: Securities Operations, Ops Automation, Settlement, FinTech Trends, Back-Office, Blockchain/DLT Tagged With: Axoni, Barclays, blockchain, Capco, Citi, Credit Suisse, distributed ledger technology (DLT), IHS Markit, JPMorgan, OTC derivatives, post-trade operations, Post-Trade Processing, settlement, swaps, Thomson Reuters

CFTC Fines Wells Fargo $400K on Faulty LTR Charges

October 5, 2016 by Louis Chunovic

The CFTC reports that it has ordered Wells Fargo Bank, N.A. to pay a $400,000 civil monetary penalty for “failing to comply with its obligations to submit accurate large trader reports (LTRs) for physical commodity swap positions.” The bank, a provisionally registered swap dealer since 2012, neither admitted nor denied the CFTC’s findings, but agreed… Read More >>

Filed Under: Derivatives Operations, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: CFTC, fines, large trader reports, swaps, Wells Fargo

New Rules Clarify Security-Based Swaps Reporting

July 20, 2016 by Louis Chunovic

The SEC reports that it has adopted “new rules and guidance … designed to increase transparency in the security-based swap market.” The additional rules, proposed by the SEC’s division of trading and markets as amendments to existing SEC rules intended to implement mandates under Dodd-Frank’s Title VII, are “related to rules regarding the regulatory reporting… Read More >>

Filed Under: Derivatives Operations, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: derivatives regulation, Dodd-Frank, Mary Jo White, Regulation SBSR, SEC, swap data repositories (SDRs), swaps, Title VII

CFTC Issues Final Rule for Cleared Swaps Reporting

June 22, 2016 by Louis Chunovic

The CFTC reports that it has approved a final rule meant to bring “additional clarity” to existing cleared swaps reporting regulations and procedures. The rule codifies reporting obligations for counterparties and registered entities and improves the “efficiency of data collection and maintenance associated with the reporting,” the CFTC says. The commission’s own detailed analysis of… Read More >>

Filed Under: Derivatives Operations, Clearing, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: CFTC, Chairman Timothy Massad, CME Group, data quality, derivatives, derivatives clearing, DTCC, Eurex Exchange, isda, LCH Group, Markit, SDR, swap data repository, swaps, swaps reporting

LCH Launches a Spider for Swaps Portfolio Margining

May 24, 2016 by Eugene Grygo

LCH Spider to Help with OTC and Listed Derivatives  Clearinghouse LCH has launched its “LCH Spider” service, described as a portfolio margining tool for over-the-counter (OTC) and listed interest rate derivatives, for members and clients using LCH’s SwapClear and Listed Rates offerings, officials say. “LCH Spider is a fully automated service that analyses member and… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Clearing, Risk Management, General Interest, FinTech Trends, Back-Office, Regulation & Compliance, Industry News Tagged With: Broadridge, collateral management, derivatives clearing, Dojima LLC, Global Post Trade Management (GPTM), LCH, listed derivatives, London Stock Exchange Group, MiFID II, MSRB Rule G-42, OTC derivatives, portfolio margining, Sifma, SwapClear, swaps

CFTC Wants a Game-Changer for Swaps Data Reporting

May 17, 2016 by Eugene Grygo

The CFTC is working hard to refine the swaps data reporting process and hopes that those changes and subsequent data harmonization internationally will be a game-changer for the derivatives industry, reports Petal Walker, chief counsel for CFTC Commissioner Sharon Bowen. Walker, who spoke at FTF’s DerivOps North America conference in Chicago last month, says that… Read More >>

Filed Under: Derivatives Operations, Derivatives Processing, Clearing, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: CFTC, CFTC Chairman Timothy Massad, CFTC Commissioner Sharon Bowen, data harmonization, derivatives regulation, Dodd-Frank, Petal Walker, SDRS, swap data repositories, swaps, swaps data reporting

JPMorgan Penalized $225K for Reporting Errors

March 31, 2016 by Eugene Grygo

Officials at JPMorgan Ventures Energy Corp. (JPMVE) and JPMorgan Chase, N.A. (JPMCB) have an idea of how much errors in large trader reports (LTRs) will cost them as the CFTC recently issued an order settling charges and imposing a $225,000 civil monetary penalty. For the Large Trader Reporting program, the CFTC operates “a comprehensive system… Read More >>

Filed Under: Derivatives Operations, Operational Risk, AML/Fraud/Financial Crime, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: CFTC, commodities, counterparty risk, FCMs, fines, JPMorgan Chase, JPMorgan Ventures Energy, swaps, trade reporting

Hong Kong Clarifies Rules for OTC Derivatives Trading

March 7, 2016 by Lynn Strongin Dodds

The Hong Kong Monetary Authority (HKMA) and the Securities and Futures Commission (SFC) proposals on introducing mandatory clearing and expanding mandatory reporting for the second stage of the over-the-counter (OTC) derivatives regulatory regime is only the next stage of the territory’s staggered approach to implementing new derivatives rules. The actions were expected and sell- and… Read More >>

Filed Under: Derivatives Operations, Collateral & Margin Management, Derivatives Processing, Clearing, Regulation & Compliance, Derivatives, Regulatory Compliance Tagged With: Anshuman Jaswal, Asia-Pacific, CCP, Celent, central clearing counterparty, CFTC, collateral management, derivatives clearing, derivatives trading, Dodd-Frank, European Commission, foreign exchange, FX, harmonization, HKMA, Hong Kong Monetary Authority, MAS, Monetary Authority of Singapore, OTC derivatives, Securities and Futures Commission, SFC, swaps, Tabb Group

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