18th Annual Liquidity Management 2019

March 13-15, 2019

The 18th Annual Liquidity Management 2019 will be held in London, United Kingdom on March 13-15, 2019.

The 18th Annual Liquidity Management 2019 covers topics such as:

  • What further clarity there is to the NSFR particularly in relation to treatment of derivatives, and what your peers are doing to respond to this
  • Continued efforts placed to optimise LCR with focus on buffer growth in differing currencies and at both global and entity level
  • Business impacts of the liquidity regulations, including how to price the costs in the retail and markets business using FTP
  • Sharpen intraday liquidity management applying enhanced governance on intraday movements, systems and stress testing framework
  • Liquidity management framework accounting for the continued negative rates and end of QE leading to scarce liquidity as well as other stress tested scenarios under IRRBB and ILAAP

The 18th Annual Liquidity Management 2019 brings together senior attendees with responsibilities in:

  • Liquidity Management
  • Asset Liability Management (ALM)
  • Balance Sheet Management (BSM)
  • Funds Transfer Pricing (FTP)
  • Treasury
  • Regulatory Reporting
  • Funding
  • Interest Rate Risk
  • Interest Rate Risk in the Banking Book (IRRBB)
  • Risk

Venue (View Map)

United Kingdom
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Please, check the official conference website for possible changes, before you make any traveling arrangements

Prices are for evaluation only.

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