Including
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Regulators’ Roundtable: Deciphering Canada’s New and Evolving Derivatives Regulations to Set and Maintain Appropriate Risk Controls
01/2014 Registration - January 2014
by Michael Brady, Senior Legal Counsel at British Columbia Securities Commission -
Adopting the Principles for Financial Market Infrastructures: How to attain a benchmark level of risk control
01/2014 Principles for Financial Market Infrastructures: Implementing Consistent & Effective Risk Management - January 2014
by Carol Brigham, Assistant Chief, Financial Stability Department at Bank of Canada -
Strategic Guidance for Implementation of and Compliance with the new Central Clearing Process
01/2014 Strategic Guidance for Implementation of and Compliance with the new Central Clearing Process - January 2014
by Marco Petta, Managing Director Market Infrastructure at RBC Capital Markets -
Risk & Compliance: Evaluating and measuring your risk tolerance to meet the latest regulatory requirements
01/2014 Risk Tolerance and Regulatory Compliance: A Litigation Perspective - January 2014
by David Conklin, Partner at Goodmans LLP -
Developments with Collateral: Solutions to address your compliance and management challenges
01/2014 Overcoming the Challenges of Regulatory Oversight in a Multi-Jurisdictional Framework - January 2014
by Greg O’Donohue, Legal Counsel, Derivatives at Ontario Teachers' Pension Plan -
Managing New Requirements in OTC Derivatives: Guidance to get your company compliance-ready
01/2014 Anticipating how the Trading of OTC Derivatives will (should) Work in Practice - January 2014
by Stephen Ashbourne, Partner at Blake, Cassels & Graydon LLP -
A Canadian Perspective on Dodd-Frank Title VII (OTC Derivatives): Key aspects affecting your business and how to prioritize your obligations
01/2014 Dodd-Frank Title VII - January 2014
by Liz Jordan, Director at RBC Capital Markets -
International Check-Up: Industry strategies to prepare your business for global change
01/2014 International Panel: Preparing For Global Change - January 2014
by Gordon F. Peery Esq., Global Derivatives Advisor at Borden Ladner Gervais LLP -
Basel III: Clarifying the Changes to the Liquidity Coverage Ratio
JAN2014 Basel III: Clarifying the Changes to the Liquidity Coverage Ratio - January 2014
by Francesca Guolo, Partner at Goodmans LLP
Part of the Conference
January 28 – 29, 2014
Toronto, ON