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An introduction to Collateral Management and One-to-One coaching (2 Hours)
via Financial Technologies Forum
A comprehensive, interactive course teaching you everything you need to know as a beginner to collateral management combined with two hours of 1:1 coaching
In the intro, you will meet the presenter and understand the curriculum and the resources you can expect to utilise.
MR_CollateralManagement_Intro.pdf - 925 KB
Collateral Management_Intro.mp4 - 7 mins - 41 MB
Glossary of key terms and acronyms.pdf - 378 KB
Lesson One
Lesson one provides an overview of the derivatives markets and the relationship to collateral. We look at the growth trajectory of the OTC market and see how collateral is entwined to that.
MR_CM_Lesson1.pdf - 2.51 MB
L1 reading and viewing.pdf - 370 KB
CM_L1.mp4 - 45 mins - 251 MB
Lesson Two
In lesson two we will work through some of the terms that you will hear during the course, what they mean or relate to and also some of the providers of services in the market and their roles. We will also explore the lifecycle of collateral across the organisation.
MR_CM_L2.pdf - 1.02 MB
L2 reading and viewing.pdf - 377 KB
CM_L2.mp4 - 45 mins - 218 MB
CM_L2_FinTech2_clip.mp4 - 2 mins - 11.2 MB
Lesson Three
Lesson three will examine the legal structure required to support derivative markets and collateralisation. We will examine the ISDA and the CSA's, netting and enforceability, before exploring default and the custodial challenges that Uncleared Margin Rules (UMR) present.
MR_CM_L3.pdf - 1.06 MB
L3 reading and viewing.pdf - 140 KB
CM_L3.mp4 - 56 mins - 309 MB
Lesson Four
Lesson four will showcase how both variation and initial margin work on a day to day basis operationally, including the calculations, calls and more detail on the processes for portfolio reconciliation and dispute management.
MR_CM_L4.pdf - 727 KB
L4 reading and viewing.pdf - 176 KB
CM_L4.mp4 - 54 mins - 379 MB
Lesson Five
Lesson five will explore the many different regulations affecting collateral, the high-level requirements and the short and long term effects on the industry and what the regulatory horizon looks like.
MR_CM_L5.pdf - 1.25 MB
L5 reading and viewing.pdf - 141 KB
CM_L5.mp4 - 58 mins - 323 MB
Lesson Six
In six, we will delve into the different types of derivatives and their impacts on collateral. Exchange-traded, cleared and uncleared derivatives, how the market operates and what the requirements are for the actors involved.
MR_CM_L6.pdf - 988 KB
L6 reading and viewing.pdf - 363 KB
CM_L6.mp4 - 52 mins - 276 MB
Lesson Seven
In seven we will explore the uncleared margin rules 'wheel of pain', which is the key derivative regulation over 2020-2022 for the buy-side community and smaller banks.
MR_CM_L7.pdf - 1.37 MB
L7 reading and viewing.pdf - 334 KB
CM_L7.mp4 - 52 mins - 270 MB
Lesson Eight
In lesson eight, we will look at the collateral ecosystem to understand how market participants are supported through fintech and industry utilities. We will look at optimisation and then consider the future for collateral and the market.
MR_CM_L8.pdf - 889 KB
L8 reading and viewing.pdf - 347 KB
CM_L8.mp4 - 50 mins - 275 MB
Lesson Nine
In lesson nine we will go through a summarised version of the course to supplement and refresh everything you have learnt.
MR_CM_L9.pdf - 1.89 MB
CM_L9.mp4 - 39 mins - 222 MB
Final Test
Check your learning. Are you now on the way to becoming a collateral master!
Our Introduction to Collateral Management course is endorsed by the prestigious Chartered Institute for Securities & Investment, the leading professional body for securities, investment, wealth and financial planning professionals. On completion of the course, you will be entitled to 10 CPD credits.
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