50% discount to DerivSource Members!
Time:16.00-17.15 (London/Dublin)
17.00-18.15 (Paris/Berlin)
11.00-12.15 (New York/Boston)
10.00-11.15 (Chicago)
08.00-09.15 (Los Angeles/San Francisco)
The credit crisis shed light on importance of counterparty risk management and many firms are revamping risk controls and collateral management processes to create a more integrated, efficient operational structure.
In this Web-event, attendees will hear a panel of industry experts discuss the challenges and solutions in improving both collateral management and counterparty risk mitigation practices post-financial crisis. The panel will review emerging best practices in both areas whilst also sharing innovative strategies, new technology and services offered to help firms make effective changes today.
Key topics for discussion include:
-Centralisation strategies & integration between departments to manage of exposure in unison
-How to handle broader range of capital in managing collateral?
-How to improve dispute management processes?
-Dealing with all types of market events and counterparty defaults
-Pre & Post deal management of counterparty risk
-Outsourcing – should collateral management be outsourced? How can fund administrators improve services?
-The evolving role of collateral management from cost center to profit center?
-New best practices in collateral management?
-New best practices in managing counterparty risk post crisis?
-Short and Long-term strategic changes for management of collateral and counterparty risk.
-Innovative technology available to improve both practices and operational areas?
Moderated and hosted by
Julia Schieffer, Founder & Editor-in-Chief, DerivSource
For more information and to register please go to the webinar website. Early bird rates are available until 1 April 2010.