2nd Collateral Optimisation, Trading and Management 2015

  • 09-10 Feb 2015
  • London, United Kingdom

Description

The 2nd Collateral Optimisation, Trading and Management 2015 is a conference that covers topics such as:

  • What organisational structures your peers have put in place to implement collateral optimisation within their firms
  • The full impact of funding and liquidity regulations such as the LCR on collateral optimisation
  • What practical methodologies for collateral optimisation banks are putting in place
  • Systems that will enable enterprise-wide collateral management and optimisation
  • Price the true cost of collateral into your business lines

The 2nd Collateral Optimisation, Trading and Management 2015 brings together attendees from banks and other financial institutions.

Past Events

Important

Please, check "Collateral Optimisation, Trading and Management" official website for possible changes, before making any traveling arrangements

Event Categories

Business: Finance, Internal Audit & Compliance, Risk Management
Services: Banking

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