Collateral - 4sight Financial Software
Transcription
Collateral - 4sight Financial Software
2 nd Annual Collateral Management June 4 th - 5 th , 2013 | New York City | NY “Out of the back office and into the spotlight” EVENT INTRODUCTION Collateral management has never mattered as much as it does today. And in the near future, the stakes look set to rise even higher. These are times of massive change in terms of both the regulatory environment and market dynamics. In consequence, financial institutions have to adapt their collateral management strategies. Collateral management is no longer simply a back office operational function, it is an integral element of liquidity risk management. There are numerous inefficiencies reflecting operational difficulties and market constraints which undermine the ability to optimize the value and use of collateral. Collateral management change from a reactive, back office administrative function presents institutions with profound operational and strategic challenges. For those firms capable of dealing with the challenges effectively, there will be valuable benefits. American Leaders is now organizing the 2nd Annual Collateral Management forum, tackling the most current topics. In the course of two days, key players from the buy side, sell side and vendor companies will meet to network, present, benchmark, and discuss the latest developments in the collateral management world. EVENT FOCUS YOUR PRESTIGIOUS SPEAKER PANEL Effective collateral management framework Regulations hand in hand with innovation Introduction of central counterparties Liquidity management – the new post crisis priority Buy-side opportunities in collateral management Increasing the use of new technologies THIS YEAR’S SPECIAL FEATURES Voting system for interactive presentations Focused roundtable discussion panels Networking Gala dinner Daniel McNavich | SunGard Principal Consultant, Collateral Management Karlien De Clercq | Deutsche Bank, Global Head of Collateral Management Helen Nicol | Lombard Risk Director Product Development | COLLINE Aamer Quadri | Bank of America Merrill Lynch, Global Head of Collateral Middle Office and Operations Eric Aldous | RBC Capital Markets, Managing Director, Head of Clearing Services and Futures James Wallin | AllianceBernstein, Senior Vice President Yves Denizé | TIAA-CREF| Financial Services, Managing Director & General Counsel, BrokerDealer & Investments WHO WILL YOU MEET Investment and Retail Banks, Asset Management Houses, Hedge Funds, Pension Funds: Global Heads, Heads, Directors and Managers of Collateral Management, Collateral Trading, Repo Trading, OTC Derivatives, Securities Lending, Credit Risk, Liquidity Management, Portfolio Management, Margin Valuation and Operations, Compliance and Legal Division Gold Sponsor: Ewen Crawford | Nomura, Global Head of Collateral Management Silver Plus Sponsors: John D. McCally | TIAA-CREF | Financial Services, Associate General Counsel Ted Leveroni | Omgeo, Executive Director of Derivatives Strategy and External Relations Atanas Goranov | The Guardian Life Insurance Company of America, Managing Director, Derivatives Officer Robert Silver | UBS, Executive Director, Global Head Prime Services Risk, Margin and Funding IT Mary Harris | TriOptima, Business Manager triResolve Franco Battaglia | Capital One Collateral Manager Michael Airey | RBS Global Banking & Markets, Managing Director Coffee Break Sponsor: PARTICIPATING COMPANIES IN 2012 Adaptive Systems Inc. • Balyasny Asset Management LP • Bank of America Merrill Lynch • Barclays Capital • BMO Capital Markets • BNP Paribas • BNY Mellon • Broadridge Inc. • Calypso • Capital One • CIBC • Citi Group • Citco Fund Services • CPP Investment Board • Credit Suisse • Deutsche Bank • Federal Reserve Bank of Boston • Federal Reserve Bank of Chicago • Federal Reserve Bank of New York • Fifth Third Bank • Financial InterGroup • Global Custodian • HazelTree Fund Services • HedgeServ Corporation • Hyde Park Global Investments • ING Investment Management • Institutional Asset Advisors • JP Morgan • Lombard Risk • Misys • Morgan Stanley • Nomura Securities International Inc • Nuveen Global Operations • Olympian Capital Management • Omgeo • RBC Dexia Investor Services • RBS • Rule Financial • Societe Generale • State Street Global Markets • SunGard • Sun Life Financial • TD Bank Group • The Bank of Nova Scotia • The World Bank • TIAA - CREF • TriOptima • UBS PARTICIPANTS JOB POSITIONS BREAKDOWN VPs 21% Directors 24% Department Heads 17% Senior Managers How did the participants benefit? ‘Thank you so much and congratulations on putting together such a great, well received event! I look forward to the next one and seeing you soon.’ Institutional Asset Advisors, Managing Director 38% With six years of experience in this sector and a solid track record of successful delivery, Fleming Group brings the industry’s long established Collateral Management conferences also to EUROPE and ASIA: visit www.flemingeurour website: ope.com VISIT OUR www.fleminggulweBSITe: f.com 6th Annual collateral Ma nagement 9 – 10 octobe r 2012, Hotel okura, Amster dam With the support of and a speaker from: tHIs YEARs sPEcIAL FEAtuR Es On the spot presentationsvoting system for interact ive Pre-conference practitioner survey survey results announcement & discussion IT & regulato ry workshops Gala dinner for all conferen ce attendees EvEnt IntRod uctIon Collateral managem ent has gained markets over a new importan the past ce in financial losses. In response, few years, brought on by actual and new regulation feared pushing towards s have come lower new market environm leverage and the consolida into place, tion of risk. A insurance companie ent directly affects banks, asset managers s and the collateral remains fundame players. Technolo , ntal, as increased greater need gy complexities for automation. are resulting in a Fleming Europe organises already Management 6th Annual Forum, focusing Collateral bringing together on the most essential experienced profession topics, and and sell side. als from both This two-day – buy side event for networkin g, open discussion provides an excellent platform case studies. s, challenging presentations and EvEnt Focus new challenge s in collateral management new global regulator y standards new central clearing requirem ents new collateral management solutions new collateral rules WHo WILL AttEnd Investment and Retail Banks, Asset Hedge Funds, Management Pension Funds: Houses, and Manager Global Heads, s of Collateral Heads, Directors Management, Repo Trading, Collateral Trading, OTC Liquidity Managem Derivatives, Securities Lending, ent, Portfolio Credit Risk, and Operation Management, s, Compliance and Legal Division Margin Valuation LatAm Intern 3rD AnnuALational ning Confere ApAC COLLAterMi nce AL MAn 20 March 201329 & 30AgeMent - 21 March Nov Sheraton Rio 2013ember 2011 th PAnELIsts david Béatrix BnP Paribas securities services Business Developm Financing Services ent – Market & Robert McWilliam , InG Bank Global Head of CVA Desk and Collateral Klaus Höller, Global Head unicredit Group of Management Collateral Gesa Benda, Eurex clearing Head of Clearing AG Business Development Laurent thuillier société Générale securities services Director, Head of Asset Servicing Helen nicol, Lombard Risk Product Director ted Allen, sunGard Vice President Capital Markets Collateral Alexander torstenss on sEB Head of Prime Mark Higgins, Collateral Services BnY Mellon Managing Director, olivier de schaetze Business Development n, Euroclear Director, Product EMEA Solutions - Global Markets ted Leveroni, omgeo Executive Director Giuseppe Ballocchi of Derivatives Strategy and , Pictet Head of Financial External Relations Engineering & Analytics Risk neil Murphy, IBM cFA Institute Director, Collateral Member of the Product Management Board of Governors Godfried de Jean-Robert vidts, IcMA Wilkin, clearstre Chairman of Executive Director, European Repo am Council Product Managem Head of GSF sheila schofield ent triResolve Business, trioptima Rajen shah, Manager citi Global Head of che sidanius, Management Collateral Financial StabilityBank of England and Securities Lending EMEA Head of Directorate Joe cassidy dennis Mullany Lloyds Banking cME clearing Group Head of WBM Director BankingEurope E-Commerce Clearing & OTC & Collateral Management WoRKsHoP LEAdERs christophe de Solution ManagerLa Bastide, Misys for Enterprise Collateral Eoin Ó ceallachá Product Manager in, Murex – Collateral Managem ent & Margining david Field, Solutions Rule Financial , Executive Director Alec nelson, Rule Financial , Principal Consultan t ADvIsOry pAne Our DIstIn guIsheD speAk L ers & ADvIs Ors LIAM CAhIL L hsBC, hong kong Business Manag er, Collateral & Client Valuatio APAC, HSBC ns, tAketOshI MOrI Bank of tokyoMitsubishi uFJ, Japan Head of Security Market Infrastr ucture-Global networkManag ement sAM AhMeD Citi, singap ore Head of Collate ral Services Sales th , Sing rt, Rio de Janei apore ro, Brazil Hotel & Reso prestIgIOus YouR PREstIG Ious sPEAKE R PAnEL Juan Jose Fortun, BBvA Vice President – Management Global Asset APAC WhO WILL AttenD heads, preside nts, Manage rs and Directo rs of :Treasury, Collater al Manage ment, Risk Portfolio Manage Management, ment, Credit Risk, Tri-Party Audit, Collater Repo, Internal al Trading - Securities Accounting, Finance, Hedge Regulatory Reporting, Internal Audit, Margin Valuatio Securities lending n, , Repo Trading Within: Retail Banks, Investment banks, Private Banks, Asset Manage Mutual Funds, ment Firms, Hedge Funds, Insurance Compan Pension Funds, ies event Intr ODuCtIO n Collateral Manage ment in APAC is now shifting gears and accelera ting with a renewed pace. demands equippi This ng yourself towards optimisa of your collatera tion ls and achievin g the ultimate regulatory adheren goal of ce, reduced counter-party increased stability risk and . The 3rd Annual APAC Collater al Management majorly on discussin focuses g difficult issues of managing border collatera crossls, the regulato ry reforms collateral manage shaping ment landscap e and securing exposures arising from trading counter Besides this -parties. the conference addresses crucial such as settings issues of margins, integrat ing securities CM and estimati with ng the adminis trative costs especially in mark-to-market pricing of collatera ls. event FOCu s • Increasing the velocity • Overcoming valuation of collateral challenges of OTC derivati ves • Setting of margins on all bilateral and cleared derivatives transact ions • Collateral‘s role • Using of repo in mitigating credit risk to manage liquidity • Collateral reconcil management iation and dispute Media Partners: resolutions ‘I really enjoyed the conference last week and found the speakers and participants to be very knowledgeable on the subject matter. If you could please keep me posted on any conferences or other events in the future I would greatly appreciate it.’ Balyasny Asset Management L.P., Treasurer Excellent conference – the networking was like no other. The sessions spot-on with current regulatory and industry events. The participants and excellent cross-section of the industry. A big thank you to AL for the excellent behind-the-scene coordination to make this conference possible. World Bank, Senior Financial Officer I learned more in 2 days at conference than 5 years at job. Thank you! Assistant Vice President, Deutsche Bank CONFERENCE DAY 1 JUNE 4th, 2013 8:30 a.m.Registration 9:00 a.m.Opening & welcome coffee 12:20 p.m.Luncheon remarks from the chair 9:10 a.m.Effective collateral management operational framework 1:30 p.m. • Impact of new financial regulations, including Basel III & Dodd-Frank • Understanding the policies, procedures and the risk models • Operations and technology perspective • Questions & answers Eric Aldous | RBC Capital Markets | Managing Director, Head of Clearing Services and Futures • Upgrading the importance of collateral management • Focus on new reporting requirements • Optimizing the value and use of collateral • Questions & answers Ewen Crawford | Nomura Global Head of Collateral Management 9:50 a.m.A new regulatory environment • Getting from regulatory principles to implementation • Regulations hand in hand with innovation • Ensuring the stability of counterparties in the OTC derivatives trading process • Questions & answers James Wallin | AllianceBernstein Senior Vice President 10:30 a.m. INTERACTIVE SESSION: Central counterparties and clearing members in the spotlight 2:10 p.m. Collateral and custodians • The new rules placing new demands on custodians • Addresing the technical challenge • Developing state of the art collateral services • Questions & answers Karlien De Clercq | Deutsche Bank Global Head of Collateral Management Morning coffee and networking 2:50 p.m.Afternoon coffee and networking 11:00 a.m. Focused Panel Discussion - Best practice for the OTC derivative collateral process • Documentation aspects • Margin call procedure, portfolio reconciliation, and interest processing • Rehypothecation and substitution of collateral Moderator: Yves Denizé | TIAA-CREF| Financial Services | Managing Director & General Counsel, Broker-Dealer & Investments Panelist: John D. McCally | TIAA-CREF | Financial Services | Associate General Counsel Mary Harris | TriOptima | Business Manager triResolve 11:40 a.m. 3:20 p.m.The buy-side perspective on collateral management • Addressing regulatory requirements • Managing collateral and risk across all asset classes • Drive towards increased transparency • Questions & answers Atanas Goranov | The Guardian Life Insurance Company of America Managing Director, Derivatives Officer 4:00 p.m. • Key challenges in current collateral management processes • Achieving practical and successful change • Can yesterday’s approaches work for tomorrow? • Accelerating change in collateral management Ewen Crawford | Nomura Global Head of Collateral Management Focused Panel Discussion – What is new in collateral management technology? • Assessing collateral management strategy in light of recent regulations • Increasing product sophistication and other challenges • Catering to the needs of the buy side, sell side, CCPs and custodians • Achieving cost savings through collateral optimization Ted Leveroni | Omgeo | Executive Director of Derivatives Strategy and External Relations Daniel McNavich | SunGard Principal Consultant, Collateral Management Helen Nicol | Lombard Risk Director Product Development | COLLINE Focused Panel Discussion – Maximizing operational efficiency and control Aamer Quadri | Bank of America Merrill Lynch Global Head of Collateral Middle Office and Operations 4:40 p.m. Closing remarks from the conference chairman Speakers and delegates are cordially invited to attend a Gala Dinner Contact: [email protected], Conference Producer Tel: + 1 312 582 4276 | Fax: + 1 212 726 3037 | www.americanleaders.com CONFERENCE DAY 2 JUNE 5th, 2013 9:00 a.m.Opening remarks from the chair 9:10 a.m. Demands and opportunities of the new collateral world • Changing financial landscape • Achieving efficient cross-product netting and consistent pricing • Integration between all business functions • Shift to a proactive, intraday approach • Questions & answers Aamer Quadri | Bank of America Merrill Lynch Global Head of Collateral Middle Office and Operations 9:50 a.m. Collateral Management as an Optimization Problem • Whether you use a vendor package or develop your own – you are solving the same underlying optimization problem • From the perspective of an optimization problem – there are practices that hurt and practices that help the situation • This presentation looks at Collateral Management from an Operations Research / Optimization perspective • Questions & answers Robert Silver | UBS | Executive Director, Global Head Prime Services Risk, Margin and Funding IT 10:30 a.m. Morning coffee and networking 11:00 a.m. Mitigating Risk through proactive Portfolio Reconciliation • Achieving efficiency across the process • An analytical and bilateral approach to resolving disputes • Why does the CFTC and EMIR regulation include Portfolio Reconciliation and what are the implications? • Questions & answers Mary Harris | TriOptima Business Manager triResolve 11:40 a.m. Focused Panel Discussion – Changing market dynamics • Utilizing CCPs for mutualizing counterparty risk • The impacts of regulatory and market trends • Internal and external considerations • Improving the effectiveness of collateral management Franco Battaglia | Capital One Collateral Manager Atanas Goranov | The Guardian Life Insurance Company of America Managing Director, Derivatives Officer 12:20 p.m.Luncheon 1:30 p.m. How does the collateral management approach of asset managers change • Impact of regulatory changes • Is outsourcing of the collateral management activities still an option? • Credit risk management of derivative positions including portfolio reconciliation • The challenge of the nostro account management • Questions & answers 2:10 p.m. Securities lending - a different world within collateral management • Why lend securities? • Enhancing performance and risk management • Avoiding settlement fails • Questions & answers 3:00 p.m.Afternoon coffee and networking 3:30 p.m. Focused Panel Discussion – Achieving and sustaining collateral management improvement • What is on top of your ‘to do’ list? • Today’s status vs tomorrow’s ambitions • Centralized collateral management – Are we there yet? Michael Airey | RBS Global Banking & Markets | Managing Director 4:10 p.m. Collateral management success – the ultimate goal • Compliance – a spur to the best practices • Reducing inefficiencies in the process • Out of the back office and into the spotlight • Questions & answers 4:50 p.m. Closing remarks from the chair 5:00 p.m. Farewell coffee and networking Contact: [email protected], Conference Producer Tel: + 1 312 582 4276 | Fax: + 1 212 726 3037 | www.americanleaders.com