Tune into this webinar to gain greater insight into how regulatory reform of the derivatives market impacts collateral management operations and how firms can achieve a cohesive strategy amidst ongoing change.
As regulation ramps up this year, financial institutions must manage the impact of these new and ongoing rules on their collateral management practices. Financial institutions must contend with the preparation for CCP clearing of cleared derivatives under EMIR, MiFID II, and the BCBS/IOSCO requirements for non-cleared derivatives. These new regulatory requirements introduce a vast range of stringent practices and procedures firms must adhere to but also introduce wider challenges on the long-term viability of existing liquidity structures, existing operating model and practices including reconciliation, communication throughout the processing chain and managing volumes.
In a DerivSource webinar, we offer an update on the regulatory reform followed by an interactive discussion of the impact on collateral management and how firms can pursue a cohesive margin management operation to support compliance and long-term efficiency. Collateral management business leaders, operational, technology and legal professionals are encouraged to attend this 1-hour webinar.
Speakers:
- Moris Danon, CFA, Product Manager, ProtoColl, Omgeo
- Fergus Pery, Director, Citi
- Thomas Ciulla, Partner, PricewaterhouseCoopers
- Gavin Platman, Head of Investment Operations Projects, Insight Investment
Moderator: Julia Schieffer, Editor-in-Chief, DerivSource.com
To register: https://goto.webcasts.com/starthere.jsp?ei=1061772