The Collateral Management in Banking Summit 2015 is a conference that covers topics such as:
- What are the main challenges and new systems required when optimizing collateral?
- How the market regulations affect collateral transformation and implementation – challenges of the new collateral era
- What is the impact of the initial margin call activity – how the margin requirements affect the collateral optimization?
- How to meet the demand in an environment of low liquidity? Intraday liquidity and optimization
- Benefits and risks with CCPs – the role of the central counterparties
The Collateral Management in Banking Summit 2015 brings together senior attendees from from the Collateral management field, involved in:
- Repo Trading
- Collateral Trading
- Liquidity Management
- Credit Risk
- OTC Derivatives
- Compliance and Legal Division
- Portfolio Management
- Securities Lending
- Margin Valuation and Operations