Paul Richards will step down and assume the position of senior advisor to the International Capital Market Association until the end of the year
The draft amendments have been put forward to support the ongoing reporting of securities financing transactions under the post-Brexit UK version of SFTR
The American financial services firm has announced the new capabilities as part of its transition from LIBOR to SOFR, offering users near-term protections from higher interest rates
With the end date for USD LIBOR transition now less than three months away, the Financial Stability Board is encouraging the market to finalise the transition of legacy contracts to prevent a “pile up” as the cut-off approaches
The Depository Trust and Clearing Corporation has launched a LIBOR Benchmark Replacement Index solution to support the industry’s transition to alternative benchmark rates ahead of the 30 June LIBOR cessation
THOR will replace the Thai Baht Interest Rate Fixing which will be discontinued after 30 June 2023
The Bank for International Settlements has appointed Luis Bengoechea as deputy head of banking
“There is a substantial addressable market for JPSB, particularly with their reputation for systems implementation and optimisation excellence, and I look forward to playing my part in their continued growth story,” says Daron Pearce
Karen Geiger, co-general manager at SS&C Advent, talks to Lucy Carter about how the company works with its clients and the challenges facing the industry
Industry experts discuss the regulatory initiatives that are having the biggest impact on their business and lessons to be learnt from regulatory data integrity and control processes
When thinking about 2021 and the challenges that lie ahead, TriOptima says market participants should evaluate all possible transition management options
TriOptima explains how it combines the reduction of gross notional exposure and the conversion of net risk exposure to deliver outsized results, partnering its portfolio compression network with core net ICE LIBOR over-the-counter swap portfolios
While 2020 has been a challenging year for markets, investment operations and many individuals, Lloyd Sebastian of CIBC Mellon explains that market participants and stakeholders have worked hard to deliver on the fundamental themes that distinguish Canada
With Brexit uncertainty challenges in the fund space, players in the asset servicing industry in UK has an opportunity to raise its game across the board
Richard Anton of CIBC Mellon highlights how the Canadian market has seen tremendous growth and innovation as financial market participants adapt to rapid technological advances