Navigating Discretionary PMS Investment Limits and Operational Risk

Consider a scenario in your back office where a Portfolio Manager (PM) managing a large discretionary corpus decides to pivot from large-cap blue chips into a cluster of small-cap companies and unlisted debt instruments....

Navigating Dispute Resolution in Margin Trading Facility Frameworks

A common situation in a broking back office involves a high-net-worth client calling to contest a forced liquidation of their Margin Trading Facility (MTF) position. The market has suffered a sharp, intraday correction,...

Navigating Dividend Disclosure Timelines in F&O Risk Management

Consider a Tuesday morning in your clearing department when an unexpected board meeting notice flashes across the news terminal, suggesting a potential high-value dividend announcement for a mid-cap stock. As a risk...

Navigating Dividend Revisions: Board Recommendations vs. AGM Approvals

A common situation in a broking back office occurs when a company announces an interim dividend via a board meeting, only for the final payout to be tweaked later at the Annual General Meeting. As an operations...

Navigating DP Obligations: Moving Beyond Mere Custody

Picture a scenario where a high-net-worth client calls your office, agitated because their shares were marked as 'blocked' in their Demat account, preventing them from selling during a market rally. As the operations...

Navigating Eligibility and Lot Sizes for REITs and InvITs

A High Net-worth Individual walks into your office, eager to diversify their portfolio with Real Estate Investment Trusts, specifically targeting the newly launched SM REITs. As an operations professional, your first...

Navigating Exceptional Clearing Situations and Settlement Failures

Picture this: a client sold a substantial quantity of shares during the day, but by the evening, the back-office terminal flags an 'insufficient quantity' error because the client’s demat account was not properly pledged...

Navigating Exceptions: Why Direct Pay-out Does Not Cover Everything

Picture a scenario in your back office where an HNI client, who has pledged their entire portfolio to meet margin requirements, demands to know why their recent purchase of shares wasn't credited directly to their demat...

Navigating Exchange Disciplinary Actions: Protecting Your Firm’s License

Consider a Tuesday afternoon when the surveillance department of a major exchange flags an unusually high volume of synchronized trades in a low-liquidity stock originating from your firm's terminal. As an operations...

Navigating Exchange Surveillance: Your Role in Market Integrity

Consider the closing bell on a high-volatility Tuesday when your back-office terminal flashes an alert indicating that a client account has triggered an automated surveillance flag for 'order book manipulation.' In the...