Beyond The PRA110 Webinar - Adopting a strategic approach to liquidity risk management | Wolters Kluwer
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  • Beyond The PRA110 Webinar - Adopting a strategic approach to liquidity risk management

    Published April 24, 2019

    OnDemand Webinar

    Date: Tuesday, March 5, 2019

    On Tuesday, 5 March 2019 UK Finance & Wolters Kluwer discussed how firms can derive long-term benefits with a strategic and holistic approach to PRA110 and Pillar 2 Liquidity Policy.

    This webinar covered:

    • Recent developments related to the implementation of PRA 110
    • Focus on monetization actions that need to be reported on PRA110 and how a firm’s monetisation strategy can be modelled and managed during times of stress
    • How to identify and determine the expected cash flows, measure, manage and report duration risk, basis risk and optionality risk under BAU and stress scenarios

    Speakers:  

    • Nicos Kynicos, Manager: Regulatory Reporting, UK, Ireland and The Nordics
    • Ioannis Akkizidis, Management and Development of Financial Risk and Analytical Solutions in Wolters Kluwer

    Listen to our webinar to find out how progressive financial firms are approaching PRA110, particularly those which don’t only ensure regulatory compliance but deliver liquidity risk management as well as a strategic forward-looking view of the future evolution of their portfolios in both trading and banking books.

    Please register below to watch the recording:

     


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