A Technical Update on Complex & Illiquid Assets - Guidance on Valuation & Disclosure- A topical one day conference on the valuation and disclosure challenges of Structured Credit Products and other Hard-to-Value Assets. 23 June 2009 – The Hatton - Central London
PLUS! Pre conference workshop: Practical & Technical Advice on Day 1 P&L Calculation & Recognition - Risk Adjustments for Derivatives - 24 June 2009 – The Hatton - Central London
20% Exclusive Discount – QUOTE VIP CODE: KM6264PW Plus! You can SAVE up to an additional £600 if you Register by Friday 22 May 2009.
Attending this event will enable you to benchmark your current processes against changing IASB, FASB, and FSA requirements.
Specifically, you will:
• Obtain IASB Technical Updates on: o Fair Value Accounting o Financial Instrument
• Examine evolving approaches to the Fair Value Hierarchy • Take away technical guidance on: o Interpreting Day 1 P&L Rules o Determining Fair Value Reserves o Classifying Level 2 vs. Level 3 Assets in practice o Evidencing an Active Market
• Obtain feedback from Auditors and Equity Analysts on the latest market disclosure and shortlist Actions for Management to address
• Find out how to achieve Credible and Consistent Asset Pricing in extreme market conditions
• Tackle Investor Perspectives & Public Misconceptions
• Gain insights into reducing risks through effective Governance, Validation & Audit
• Review the key components of Effective Product Control This event will benefit • BANKS • SECURITIES FIRMS • HEDGE FUNDS • SERVICE PROVIDERS
Specific departments • PRODUCT CONTROL • RISK & AUDIT • FINANCE • PRICING/FRONT OFFICE |