Notice 29 Apr 2025 treasury department, information collection, compliance, suspicious activity report, financial services, bank secrecy act

🏦OCC Notice on Bank Secrecy Act Compliance and Reporting Renewal

The OCC, as part of its continuing effort to reduce paperwork and respondent burden, invites comment on a continuing information collection, as required by the Paperwork Reduction Act of 1995 (PRA). In accordance with the requirements of the PRA, the OCC may not conduct or sponsor, and the respondent is not required to respond to, an information collection unless it displays a currently valid Office of Management and Budget (OMB) control number. The OCC is soliciting comment concerning the renewal of its information collection titled, "Minimum Security Devices and Procedures, Reports of Suspicious Activities, and Bank Secrecy Act Compliance Program." The OCC also is giving notice that it has sent the collection to OMB for review.

Learn More
Notice 28 Apr 2025 clearing agencies, financial services, regulatory compliance, recovery plans, ffic, orderly wind-down

📈FICC's Proposed Rule Change on Recovery and Wind-Down Plans

The Securities and Exchange Commission has published a notice regarding FICC's proposed rule change aimed at amending its Recovery and Wind-Down Plan. This proposal is intended to meet compliance with new regulatory requirements, enhancing the clarity and effectiveness of the plan designed to maintain critical financial services during market stress scenarios.

Learn More
Notice 28 Apr 2025 trading, sec, regulation, financial services, nyse, connectivity, fees, colocation

📈NYSE Proposes Changes to Connectivity Fee Schedule for Trading Floors

The NYSE proposed a rule change to amend its Virtual Control Circuit service to include new connectivity options for trading floors. This change aims to enhance trading data transmission capabilities while maintaining existing fee structures, ensuring equal access to market participants. The proposal emphasizes non-discriminatory practices and regulatory compliance for seamless service integration.

Learn More
Notice 28 Apr 2025 federal reserve, financial services, debit cards, compliance, payment networks, regulation ii

💳Extension of Regulation II Recordkeeping & Disclosure Requirements

The Board of Governors of the Federal Reserve System (Board) is adopting a proposal to extend for three years, without revision, the Recordkeeping and Disclosure Requirements Associated with Regulation II (FR II; OMB No. 7100-0349).

Learn More
Notice 28 Apr 2025 federal reserve, financial services, bank control, regulatory compliance, acquisitions

🏦Federal Reserve Notice on Change in Bank Control and Acquisitions

The Federal Reserve System has issued a notice regarding applications for acquiring shares of banks or bank holding companies under the Change in Bank Control Act. It outlines the public's ability to comment on these applications and the relevant regulatory compliance expectations. Interested parties are urged to submit comments to the respective Federal Reserve Banks before specified deadlines.

Learn More
Notice 28 Apr 2025 trading, regulation, financial services, nyse, connectivity, securities

📈NYSE Arca Proposes Rule Change on Virtual Connectivity Services

The NYSE Arca has filed a proposed rule change to amend its connectivity fee schedule, introducing Virtual Control Circuit services that connect to trading floors. This proposal aims to enhance competition among circuit providers and offer users expanded options for trading data transmission, with an equal application to all market participants.

Learn More
Notice 25 Apr 2025 trading, securities, sui, regulation, investment, etf, exchange, financial services

📈SEC Proposal for Listing Shares of Canary SUI ETF

The Securities and Exchange Commission is considering a proposed rule change for the Cboe BZX Exchange to list and trade shares of the Canary SUI ETF. The proposal outlines the structure, governance, and operational details of the ETF, which will hold the SUI cryptocurrency, enhancing market accessibility for investors and reinforcing regulatory compliance in digital assets.

Learn More
Notice 25 Apr 2025 sec, investment, regulatory, business development companies, financial services

📈SEC Exemption Notice for KKR FS Income Trust Investment Class Shares

The Securities and Exchange Commission (SEC) issues a notice regarding KKR FS Income Trust's application for an exemption under the Investment Company Act. This would allow certain investment companies to issue multiple classes of shares, each with varying fees. The content includes details on applicant representation and the process required for public hearing requests.

Learn More
Rule 24 Apr 2025 compliance, financial services, security-based swaps, regulation, sec

📈SEC Extends SBSR Compliance Statement

The Securities and Exchange Commission is extending a statement regarding compliance with rules for security-based swap data repositories and Regulation SBSR.

Learn More
Rule 23 Apr 2025 national credit union administration, regulatory compliance, share insurance, financial services, succession planning

📜NCUA Solicits Comments on Share Insurance and Succession Planning Rules

Consistent with the January 20, 2025, White House memorandum to the Heads of Executive Departments and Agencies, captioned "Regulatory Freeze Pending Review," the NCUA Board (Board) is soliciting public comment for a period of 60 days on two of its recently published final rules that have not fully taken effect. Specifically, through publication of this notice, the Board invites comment on its final rule captioned "Simplification of Share Insurance," published on September 30, 2024, which takes full effect on December 1, 2026; and the final rule captioned "Succession Planning," published on December 26, 2024, which takes full effect on January 1, 2026. The public comment period will allow interested parties to provide comments about issues of fact, law, and policy raised by the two final rules.

Learn More