Fund Reporting – Client Success
CSS was selected as a partner to help solve a client’s global fund reporting challenges. The asset manager had built......
CSS was selected as a partner to help solve a client’s global fund reporting challenges. The asset manager had built......
As part of the asset manager’s initiative to review its target operating model and its strategic supplier landscape, CSS was......
CSS was selected as a long-term strategic partner to help solve a client’s global fund reporting challenges. The Tier 1......
The alternative credit manager focuses on alternative credit strategies and has $5+ billion in assets under management. The experienced Chief......
Position Limit Monitoring requires the regular sourcing of limits from exchanges and regulators to ensure that the most current limits......
The Securities and Exchange Commission (SEC) published a report on Cybersecurity and Resiliency Observations and several risk alerts in which......
XML Securities, LLC, a full-service broker-dealer and its affiliate investment advisor, XML Financial Group, were challenged to compile compliant and......
A global Tier 1 asset manager decided to take a more holistic approach to their regulatory reporting by moving from......
CSS was selected as the strategic partner to help a global Tier 1 investment manager move from a tactical to......
A comprehensive solution for Forms N-PORT, N-CEN and N-LIQUID
A comprehensive end‐to‐end solution for insurers, banks, asset managers and distributors
A comprehensive suite of regulatory data solutions for fund managers and distributors.
The SEC is conducting “electronic messaging” examinations — mainly in the New York region — which include all forms of written communications related to an Adviser’s business.
Sign up now to receive access to our new, free Form ADV toolkit and our ComplianceCast.
It’s only going to get harder to detect 21st century fraud with 20th century technologies. Embrace technology in your compliance program.
In addressing the SEC reporting modernizations of Form N-Port, those in the mutual fund industry would be wise to be planning for 2018 now.
Many private fund advisers are wondering: How does the DOL Rule apply to my business? Why does it apply to…
Supreme Court ruled that the SEC is bound by a five-year limitation period when it seeks disgorgement from those who have violated federal securities laws.
Review industry practices pertaining to identifying and monitoring service providers, and developing and implementing a due diligence program.
After months of delays, the DOL’s Fiduciary Rule goes into effect on June 9, 2017. What does this mean?
According to a new alert from the U.S Department of Homeland Security, nine minutes is all it takes for your compromised personal information to be widely accessible and for sale