We are 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.
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.