Collateral Management: Preparing for the imminent SFC changes ahead
The collateral landscape has evolved and a number of market participants have already introduced new systems and processes to manage this. Capital markets firms and asset managers are soon to be impacted by the new regulations and it is essential they plan early enough to meet their regulatory requirements. During this seminar we will outline the key changes that are taking place in Hong Kong within collateral management and what discussions firms should be starting now to ensure they are fully prepared for the impact in the next 6-18 months.
- Regulatory background
- Overview of the margin framework
- Margin analytics and system infrastructure
- Industry concerns
Who should attend
Licensed practitioners who would like to better understand the proposals to implement margin requirements for non-centrally cleared OTC derivatives.