Join us on Thursday 15th February to learn more about the PRA’s approach to branch authorisation and supervision, the impact of Brexit and more.
Delegates registering for this event are eligible to receive a copy of the presentation material, results of live online polls, and a summary of questions/answers that arise.
Join us on Tuesday 12th December for this preview of what 2018 holds as we help firms look ahead and consider what is required and when and the project and planning action needed.
At this year’s annual preview, we set out what to expect for 2018, and we’ve boiled this down to three heavy hitter themes. Firstly, of course, for CRDIV firms the EBA reporting requirements continue to flow in, with some early requirements for AMM template (C.66), and for COREP changes, and the IFRS9 change to FINREP, and a DPM change.
Lombard Risk will be attending Canadian Annual Derivatives Conference in Quebec. Delegates will be given the opportunity to meet with the Lombard Risk team of business matter experts to learn more about Lombard Risk’s suite of world-class and market-leading collateral management solutions.
The eighteenth edition of the Canadian Annual Derivatives Conference is fast approaching. This is a two-day event in Québec City that brings MX closer to its clients for open, informative discussion about Canada’s derivatives market.
Lombard Risk will be exhibiting at the Nordic Post Trade Oslo. Delegates will be given the opportunity to meet with the Lombard Risk team of business matter experts at our exhibit to learn more about Lombard Risk’s suite of world-class and market-leading collateral management solutions.
Nordic Post Trade Oslo is the conference for you who wants to discuss the key issues affecting your middle and back office function. On 21st-22nd of November at Felix Conference Centre some of Oslo’s and international leading experts and key players within post trade will get together to discuss the most important issues on the top of the agenda for 2018.
Join the November 16th DerivSource webcast and get a glimpse of the future – the new industry ecosystem that streamlines front to back processes from trading through collateral to settlement. Lombard Risk and key infrastructure providers will explore how both buy and sell-side firms can simplify margin infrastructure and increase automation via connected technologies and services. How can a collateral management hell transform into collateral ‘comfort’ and maybe even heaven?
Collateral management is becoming increasingly complex with the continuing post-crisis drive to create a risk-less environment which has instead brought on more regulation,