12-13 May 2011, London
This training program is designed to provide delegates with practical knowledge about the key concepts, systems, processes and procedures in international securities settlement and custodial services as well as operational risks involved. Participants will have a chance to gain skills necessary to facilitate day-to-day transactions and communication processes between all parties involved.
Main topics covered:
* Securities settlement – exploring key concepts and market context
* The relationship between exchanges and clearing houses
* Derivatives and securities settlement process
* Understanding the role of a settlement department
* The role of payment system in securities settlements
* Settlement process including pre-settlement, settlement and reconciliation processes
* Timing in cash management and Forex exchange
* Global custody and derivatives clearing
* Core and value added services in global custody
* Identifying and managing risks in clearing, global custody and settlement
* The impact of ‘Corporate actions ‘ in custody services
* Exploring industry trends
By attending this program you will gain:
* Practical understanding of international securities settlement processes and custodial services, key players and concepts
* A clear understanding of the operational risks involved in these two services
* An update on recent developments of international securities settlement and custodial services
* An understanding and appreciation of the communication processes between all the parties involved in a given transaction
Register before 25 of March and take advantage of our Early Bird promotion. Save over £150!