Exploring new regulatory requirements and assessing cost optimization through automation and outsourcing to mitigate credit risk
The 2nd Annual Collateral Management Asia 2012 summit will explore how Heads of Risk, Heads of Trading, Heads of Derivatives Operations and Heads of Middle Office, & Treasurers across Banks, Broker Dealers, Fund Managers, Exchanges, and Central Clearinghouse can optimize, protect, and manage collateral.
Close to 100 attendees joined us last year, including Heads of Risk, Heads of Trading, Heads of Derivatives Operations and Head of Middle Office, & Treasurers across Banks, Broker Dealers, Fund Managers, Exchanges, and Central Clearinghouse who are actively implementing collateral management practices and technologies.
Collateral Management Asia 2012 summit will let you:
- Benchmark your collateral management strategies with leading financial institutions to improve your collateral valuation and regulatory compliance
- Learn on-the-ground information from both the buy and sell side to identify areas to optimize collateral management
- Explore the regulatory requirements directly with Asian clearing counterparties and exchanges
- Network with leading collateral management professionals active in Asia’s trading market to broaden and enhance your investor base
For more information, contact us at:
T:+65 6722 9388
Related links: Draft agenda
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