If you are a C-level executive or heading up a trading function in a bank, you will be facing enormous challenges and opportunities in this post-financial crisis era.
How do you gain a competitive advantage in a more commoditised market and respond to regulation and the need for a greater view of risk while your technology infrastructure is based on fragmented systems? Especially when these siloed systems are generally working well and traders know how to use them.
This white paper explores the optimum solution and tools that will enhance your existing infrastructures and help the front office manage complex positions across multiple trading systems and asset classes.
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