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April 2010

Identifying Both Short & Long-term Strategies for Improving Collateral Management & Counterparty Risk Mitigation

April 8, 2010 by DerivSource   Comments (0)

I moderated a Webinar on counterparty risk and collateral management just two years ago and since then not much has change. In fact, these two operational areas seem more in the spotlight now as the credit crisis (the default of Lehman Brothers specifically) shed light on the inefficiencies in current procedures and processes. Budgets vary by firm, and many firms have seen regulatory projects take most of the available budget away, but financial institutions must fix the cracks in infrastructure and governance now painfully visible.

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