RegTek Solutions CEO, Brian Lynch, discusses the demand for ISIN solutions with MiFID around the corner.
Guidance on MiFID II’s reporting requirements have been public for quite some time, with strict requirements. How will this balance with today’s ‘best efforts’ regime. Both Regulators and Firms face a balancing act.
5 Key Takeaways from the CPMI-IOSCO “Harmonisation of critical OTC derivatives data elements (other than UTI and UPI)” – second batch
RegTek Solutions’ 5 key takeaways from the October publication of the CPMI-IOSCO ‘Harmonisation of critical OTC derivative data elements (other than UTI and UPI) – second batch.’
The December 8, 2016 Article in TheTradeNews entitled “Out Of The Shadows” keys in on the impact of MiFD II reporting that will be felt by Buy Side firms that have been reliant on Delegated Reporting under EMIR.
ESMA’s Final Report has been published – what does that mean for your business, enterprise or institution?
Risk Focus attended the premier Derivatives Regulatory Reporting conference of 2014 in London from June 17-18. The conference covered many significant challenges posed by financial institutions related to derivatives trade reporting in compliance with Dodd-Frank, EMIR and other jurisdictions.