Attend the 10th Annual Collateral Management this September 10-11,2009 at Millenium Gloucester, Gloucester Road, London, UK.

Collateral management is being focused on like never before, rarely has a specific banking component attracted so much discussion and media attention. In the current market getting collateral management correct can transform a banks future, acting as a springboard for success, getting collateral management wrong can result in a banks demise. Never has there been a greater need for a conference focused on collateral management.

In it’s 10th year this marcus evans conference focuses on the practical application of proactive collateral management in today’s volatile market. Stategies that worked 18 months ago need to be completely re-hashed, key sessions will cover the new focus of collateral management and the role is has to play in risk management. Discussions will look at minimizing mistakes in margin calls, dispute management and collateral agreement and ensuring you get what you need from collateral first time.


Key Topics

# Re-engineer your collateral management department to beat the credit crisis
# Discuss vauation, reconciliation and disputes
# Get practical insights into restructuring collateral agreements
# Assess rehypothecation and analyse costs, whilst evaluating the lastest automation and triparty technology
# Understand the need for consistency in counterparty risk


For more information please contact:

Valeria Borgia
11 Connaught Place
London
W2 2ET

Telephone:+44 (0) 20 3002 3282
Fax:+44 (0) 20 3002 3016
Email:valeriab@marcusevansuk.com

or visit their website.

0 comments