Past Events

13 Mar 2009 - 48th ACI World Congress – Cape Town: Reserve management during financial crisis

Alexandre Gautier, Banque de France delivered a brilliant insight view to Reserves management during the financial crisis and refered to some experiences within the Banque de France. A strong focus on the ranking of risks will be: 1. Credit risk, 2. Operational risk, 3. Liquidity risk and 4. Market risk. The post-Lehman-trauma further causes a need for review of: i) Master agreements, ii) Closeout procedures and iii) Confirmations.
A. Gautier is Deputy Head of the Market Operations Department at the Banque de France, which covers market monitoring, assets management, monetary policy implementation and other market activities.



ACI The Financial Markets Association Upcoming events
Alexandre Gautier, Banque de France
ACI The Financial Markets Association Upcoming events
Start of presentation
ACI The Financial Markets Association Upcoming events
Explanation by Alexandre

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