Developing Effective Approaches to
Collateral Management
12th – 13th April 2011 • London
Market and regulatory developments have continued apace in how firms hold, value and manage their Collateral.
The impact of Basel III and impending reforms in OTC Derivatives as well as the introduction of Central Counterparty Clearing will have major ramifications for the industry.
Plus, innovations in controlling operational risk and trends towards tri-party Collateral Management, have already changed the face of Collateral Management.
In response, this conference has been specifically designed to give you practical guidance on overcoming these emerging challenges, whilst maintaining Risk Mitigation as the central plank of your collateral management strategy.
Tackling your key questions
Book your place today so you can:
- Enhance collateral Efficiency and align collateral methodology with Risk
- Uncover best practice on using pricing and discounting curves of OTC Derivatives
- Understand Collateral Management as a Risk Mitigation Tool
- Understand the key relationship between Liquidity and Collateral Management post Basel III
- Optimising the use of collateral assets through collateral trading
- Analyse the current role of tri-party collateral management
- Correctly calibrate margining and collateral arrangements within centralised clearing parties
- Confront the impact of Basel III on Collateral Management
- Capture the appropriate credit exposures within Counterparties
- Structure and manage an integrated collateral trading approach
- Utilise outsourcing opportunities
- Mitigate liquidity transfer pricing costs on collateral
- Overcome valuation challenges in collateral arrangements
- Benchmark your approach to use of ISDA documentation
Remember to quote VIP Code: KM6547AAR for your 10% Discount
To register for this event click here.
Alternatively, email custserv@infoline.org.uk or call us on +44 (0)20 7017 7702, quoting VIP code: KM6547AAR
http://www.informaglobalevents.com/KM6547AAR |