You are viewing all posts tagged with "Position Risk Operations"

Ted Allen

vice president, collateral management, SunGard's capital markets business

13
Jul
2011

What your firm needs to know about collateral management now

Contributor: Ted Allen

As global regulators introduce new rules and market changes, banks are feeling pressure in every area of their business. One in particular is around collateral management and optimization. A huge liquidity strain and increased demand for collateral assets have brought collateral management to the top of banks’ agendas. But, what is the right collateral management approach in this new regulatory environment?... read more

Marcus Cree

vice president, risk solutions, SunGard's capital markets business

24
Jun
2011

Who stole the show at SunGard’s New York City Day 2011?

Contributor: Marcus Cree

I spent Monday, June 20 at the SunGard’s New York City Day. This year’s event brought another full house, with a provocative keynote speaker and an afternoon full of industry debate and questions. Not surprisingly, regulatory reform dominated many of the presentations throughout the afternoon and found its way into most of the conversations in the networking sessions. Neither Barney Frank nor Chris Dodd was at the Waldorf-Astoria that day, but their long shadows certainly were.... read more

Tony Scianna

deputy head of strategy, SunGard’s capital markets business

17
Jun
2011

Financial regulatory reform: A twitterview with John Lothian

Contributor: Tony Scianna

Today I participated in a Twitterview – a real-time interview via Twitter – with John Lothian, owner of John J. Lothian & Company, Inc. and founder of the John Lothian Newsletter and MarketsWiki. As SunGard’s New York City Day is around the corner and we are both speaking on panels focusing on financial regulatory reform, we thought it would be fun to give a preview of some of the hot topics on Twitter.... read more

Tony Scianna

deputy head of strategy, SunGard’s capital markets business

19
May
2011

Industry Roundtable: Dodd-Frank Rule Implementation

Contributor: Tony Scianna

We’ve talked a lot on this blog about the new rules and requirements that will soon affect the financial industry as a whole. After catching up with John Omahen, vice president of our post-trade derivatives solutions, who recently attended talks with regulators in Washington, D.C., it is clear that there is still a lot of work to do. I asked John some questions about his participation in a joint CFTC-SEC roundtable discussion on May 2. Take a look at the Q&A below to see what John had to say. Do you have your own Dodd-Frank implementation questions?... read more

Tony Scianna

deputy head of strategy, SunGard’s capital markets business

22
Mar
2011

A Daunting Task – Regulatory Readiness: The Data Management Challenge Webinar Recap

Contributor: Tony Scianna

I recently participated in a webinar with DerivSource that tackled the topic “Regulatory Readiness: The Data Management Challenge.” You can now hear the playback on the DerivSource website, and I thought I would provide a brief recap to highlight some of the key points I discussed with Anshuman Jaswal, senior analyst in the Securities and Investments Group at Celent, and Norman Brower, executive director at Morgan Stanley. ... read more