Recently, collateral management has evolved from a back-office concern, to a middle and front-office operation. The Dodd-Frank act, devised as a solution to the financial crisis, has had a profound effect on the market, which many are still learning to manage effectively. The threat of new, uncleared margin rules will finally become reality in September 2016, and will add a whole new dimension of difficulty to the post-regulatory management of collateral.

This premiere GFMI conference will help institutions prepare for the impact of the new legislation to ensure that they can continue trading efficiently and profitably. Hear from collateral management experts about the best strategies for aligning collateral theory and operations with a view to implementing effective solutions to understanding collateral requirements and pricing, as well as discerning the best trade routes and profiting from collateral optimization.

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