In this session, panellists will take an in-depth look at the ever-shifting regulatory landscape, considering some of the key changes over the past year and how the industry will tackle the future.
From the SFTR to the SEC’s 10c-1a SLATE, the line up of experts will consider the ramifications — both current and potential — on the securities finance sector.
Coming just a week after the US election, the political backdrop looks set to add yet another dimension after a campaign which brought Basel Endgame and capitalisation requirements to the mainstream.
Moderator
Sean Tuffy
Consultant, Independent Regulatory Specialist
Panellists
Jonathan Lee
Money Markets Reporting Director, Kaizen
Farrah Mahmood
Director of Regulatory Affairs, Regulation & Market Practice Group, ISLA
Kevin McNulty
Head of RegTech Solutions, EquiLend
Ed Oliver
Managing Director, Product Development, eSecLending
Jonathan Tsang
Director, Business Development, S&P Global Market Intelligence Cappitech
As the shift to T+1 settlement gains momentum globally, securities finance professionals are examining its implications for the industry. With the US, Canada, Mexico, and Jamaica already adopting T+1, other regions, including the UK and EU, are exploring a similar transition and have established task forces to evaluate the process.
This panel will discuss lessons learned from early adopters, the challenges and opportunities of moving to accelerated settlement, and how these changes will impact global securities markets. Panellists will also consider the broader implications for market infrastructure, cross-border transactions, and operational efficiency in the securities finance landscape.
Moderator
Andy Krangel
Director, Agency Íø±¬³Ô¹Ï Finance - Global Product Development, Citi
Panellists
Adrian Dale
Head of Regulation, Digital & Market Practice Group, ISLA
Gabi Mantle
Global Head, Post-Trade Solutions, EquiLend
Bill Meenaghan
CEO & Founder, SSImple
Matt Johnson
Director, ITP Product Management, and Industry Relations, DTCC
In an era where collateral plays an increasingly critical role in financial markets, this session will explore the evolving landscape of collateral management and optimisation. As the industry transitions towards T+1 settlement globally and navigates the implications of the Uncleared Margin Rules, the demand for efficient collateral management has never been greater.
This discussion will delve into key issues such as the trade-offs between liquidity and mobility, as well as the emerging trend of tokenisation in collateral processes. Join us for a comprehensive examination of how these dynamics are reshaping the securities finance ecosystem and driving the pursuit of greater efficiency.
Moderator
Glenn Handley
Consultant & Founder, SecFin Solutions
Panellists
Wassel Dammak
Director, Collateral Management, Vermeg
Greg Donovan
Vice President, Collateral Services EMEA, State Street
Graham Gooden
EMEA Head of Triparty, J.P. Morgan
Todd Hodgin
Global Head of Product Development, Transcend
Martin O'Connell
Solutions Architect, HQLAX
This session will explore the far-reaching implications of the upcoming US Treasury central
clearing mandate, set to reshape one of the world’s largest and most liquid markets. As US
regulators push for greater market resilience following recent periods of volatility, this mandate will
significantly impact both domestic and international participants, including those in Europe.
The discussion will delve into the challenges and benefits of mandatory central clearing, examining the
implications for margin costs, risk management, and operational adjustments.
Attendees will gain
insights into how this ruling, while focused on US markets, is poised to influence European market
practices and regulations, especially in light of ongoing EMIR 3.0 deliberations. Join industry
experts as they discuss the path forward, the necessary preparations, and the broader context of
global market integration.
Moderator
Darren Crowther
General Manager Íø±¬³Ô¹Ï Finance & Collateral Management, Broadridge
Panellists
Cyprien Dupont-Madinier
Head of repo Europe, Bank of Montreal
Richard Gomm
Associate Director, Product & Business Development, SIX
Michalis Sotiropoulos
Head of Government Relations, Europe, DTCC
With the world arguably on the cusp of the next technological revolution, this panel will discuss
recent developments in securities finance technology, and look towards the future to ask — what next?
From AI and tokenisation, to distributed ledger technology and industry-wide digitisation, this
expert panel will discuss all the major technological developments impacting the industry.
Moderator
Jonathan Adams
Consultancy Lead, Progressive SecFin Ltd
Panellists
Joseph Gillingwater
Senior Vice President, Global Head of Fixed Income Íø±¬³Ô¹Ï Finance Trading, Northern Trust
Mike Lambert
Product Director for Íø±¬³Ô¹Ï Lending, Broadridge
Paul Landless
Partner, Clifford Chance LLP
Senior business leaders will discuss the evolving trends and challenges reshaping securities
lending.
As market and regulatory pressures intensify, especially in short-term funding and
leverage, the future of the repo and securities lending markets remains uncertain.
Panellists will explore the adequacy of the Íø±¬³Ô¹Ï Financing Transaction (SFT) platform, the impact of active
versus passive investing, and the growing role of distributed ledger technology (DLT) and digital
assets in transforming market practices. They will also delve into new and emerging markets,
alongside the rise of retail brokerage as the industry's final frontier.
Moderator
Roy Zimmerhansl
Principal, Pierpoint Financial
Panellists
Sabine Farhat
Head of Íø±¬³Ô¹Ï Finance Product Management, Murex
Eileen Herlihy
Managing Director, Global Head of Trading Services, J.P. Morgan
Adnan Hussain
Managing Director, Global Head of Treasury and Íø±¬³Ô¹Ï Lending, HSBC
Ross Bowman
Head of Client Management for Agency Lending & Financing Collateral Services, BNP Paribas
Moderator
TBC