The Energy Trading Compliance 2013 is a seminar that covers topics such as:
- Real Time Reporting, Record Keeping Rules and Large Trader Reporting
- Market Manipulation
- Adapting to Increased Scrutiny & Assessing the Future
- Swaps, Non-Swaps, and Financial Entities - CFTC Obligations and Reporting Requirements
- Industry Response to Regulatory Investigations and Enforcement Actions
- Preparing for and Responding to Enforcement Actions and How Market Participants Can Ensure Compliance in a Multi-Agency Regulatory Environment
- Cross-Border Requirements and Ensuring Global Compliance
- End User Compliance: Amending Required Documents, Swap Dealer Rule, Capital and Margin Calculation
- Ensuring Compliance With NERC Reliability Standards
- ISOs and RTOs
- Cybersecurity and Its Effect on Energy Market Trading
The Energy Trading Compliance 2013 brings together:
- Regulatory Counsel
- Corporate Counsel
- Chief Compliance Offi cers
- Trading Counsel
- Compliance Executives
- FERC Compliance Offi cers/Managers
- Directors of Risk Management
- Directors of Regulatory Affairs
- Attorneys Specializing in
- FERC & CFTC Compliance and Enforcement
- Energy Regulation & Legislation
- Energy Swaps and Derivatives/Energy Trading
- Energy Industry Analysts