- finance/insurance sector
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9th Annual Liquidity Management
Combating regulatory and funding challenges whilst ensuring a fortress balance sheet
Event Date: 11-12 Mar 2010
Location: Hilton Kensington, UK
- key conference topics
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- Debate the new, size and composition of liquidity buffers
- Comprehend regulations new role in liquidity and understand liquidity reporting requirements
- Make 2010 the year to put a robust and practical liquidity risk strategy in place
- Discover effective methods to recalibrate the balance sheet and combat cash flow management alongside transfer pricing
- Unocver how to make collateral management work for liquidity
- key conference features
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- JWG-IT Group offer a holistic apporach to the current questions overshadowing liquidity
- Danske Bank discuss their approach to liquidity risk
- BNP Paribas Fortis offer practical scenarios for liquidity stress tests
- Rabobank debate the optimal structure for funding and transfer pricing
- conference focus
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Implementing an effective and practical liquidity strategy is at the top of all banks current priorities, this marcus evans co body lang=EN-US style='tab-interval:36.0pt'>Implementing an effective and practical liquidity strategy is at the top of all banks current priorities, this marcus evans conference offers all the key elements to put this in place.
Liquidity risk experts will uncover the role of stress testing, modelling and contingency planning, whilst regulators will present their latest requirements and support. Treasury and balance sheet management professionals will discuss funding, transfer prcing and debate the formation of liquidity buffers; whilst incorporating the important role that collateral management and central banks currently play in liquidity. Finally post crisis we will unravel the return of the intraday market and debate how this should fit into your overall liquidity framework.