Venue
TBA
TBA, Paris

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Event Date Mon Dec 2 CET - Thu Dec 5 CET (10 days ago)
In your timezone (EST): Sun Dec 1 6:00pm - Wed Dec 4 6:00pm
Location TBA
Paris
Region EMEA
Details

The seminar will set out the various back-office operations in a central bank and analyze the processing chain and the related risks. Intended for central bank managers in charge of back-office operations money market, foreign exchange market, securities transactions.

Why you should attend:
• Organization and governance of the Markets function,
• Overview of recent trends in foreign reserve management,
• Definition of back-office operations and scope of application,
• Foreign exchange operations
• Euro-denominated and FX-denominated portfolio management
• Customers’ operations and back-to-back transactions on the market
• Custody of financial instruments
• Accounting of market and securities transactions,
• IT-related issues (cyber-risk, resilience/ business continuity) and static data,
• Operational risk management and compliance requirements for these activities.