The 7th OTC Derivatives & Collateral Management 2017 covers topics such as:
- Optimisation and Collateral Management in APAC
- Impact of New Margin Requirements for Non-Cleared Derivatives
- How Can the Buy-Side Choose the Right Partners Who Can Help with Complex Requirements for Margining & Collateral Mobilisation?
- Timely Confirmations and Portfolio Reconciliation under EMIR and Dodd Frank
The 7th OTC Derivatives & Collateral Management 2017 brings together senior attendees with responsibilities in:
- Risk Management
- Collateral Management
- OTC Derivatives
- Portfolio Management
- Treasury
- OTC Clearing & Settlement
- Tri-Party Repo
- Credit Risk
- Collateral Trading - Securities Finance
- Internal Audit
- Regulatory Reporting
- Hedge Accounting
- Margin Valuation
From:
- Investment banks
- Retail Banks
- Mutual Funds
- Private Banks
- Hedge Funds
- Asset Management Firms
- Insurance Companies
- Pension Funds