Energy market participants are facing one of the most sweeping regulatory developments in recent history with the Dodd-Frank Wall Street Reform and Consumer Protection Act. With significantly increased regulatory authority delegated to FERC and the CFTC, and the lack of detailed rules, the current regulatory climate creates an unprecedented amount of legal and financial uncertainty across energy markets. As the regulatory landscape continues to evolve, it is imperative for energy professionals to understand the ramifications of this new regulatory and enforcement structure in order to ensure compliance.
Hear from leading executives on how to identify the latest regulatory and legal developments affecting the energy trading industry. Conference attendees will gain a clear understanding of new FERC and CFTC rules and how to proactively facilitate regulatory compliance in the long term.
We invite senior level executives from Energy Companies, Investment Banks and Energy Trading Firms with responsibilities or involvement in:
Compliance
Energy & Commodities Trading
Chief Risk Officer
Risk Control
Risk Management
Regulatory Affairs
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