Global Collateral Management USA


5 - 6 June 2012, New York / Chicago, USA
 

ABOUT THE EVENT:
In the face of the coming regulatory reform, investors have a lot to do to prepare. Begging the process now will ensure adequate time to consider and select from execution platforms and clearing, servicing and collateral management providers to ensure readiness when the regulations in fact take effect.

Collateral Management has become a hot topic with growing regulatory pressures to reduce counterparty risk, improve transparency in the markets while the the importance of centralized clearing and efficient collateralization process has never been greater.

This meeting will look at how collateral management is evolving and discuss the current and evolving landscape and understanding the implications. The technology panel will review emerging best practices in collateral management whilst also sharing innovative strategies, new technology and services offered to help firms make effective changes today.

TOPICS TO BE DISCUSSED:
  • Meeting regulatory reforms & regulations: cost and complexity
  • Efficcient collateralization with CCPs
  • Risk mitigation
  • Portfolio reconciliation
  • Best practices in collateral management technology
  • Liquidity
  • Dispute resolution
  • Future trends
  • Buy side – hedge funds


EVENT FORMAT
Global Collateral Management is an event based on sharing and interactivity. The Conference will last two days and will be filled with presentations, interactive panels and roundtable discussions. Within the program a networking cocktail reception at the end of the first day is included.

WHO WILL YOU MEET
Chief Executive Officers, Chief Risk Officers, Vice Presidents, Directors and Heads of Heads of: •Collateral Management• Collateral Trading• Repo Trading• Risk• Operations• OTC Derivatives• Securities Lending and Borrowing• Middle/Back Office • Equity/Fixed Income Treasury• Economists and professionals serving the banking industries.