Managing Financial Information in the Trade Lifecycle

Managing Financial Information in the Trade Lifecycle
Author :
Publisher : Elsevier
Total Pages : 275
Release :
ISBN-10 : 9780080559933
ISBN-13 : 008055993X
Rating : 4/5 (33 Downloads)

Synopsis Managing Financial Information in the Trade Lifecycle by : Martijn Groot

Information is the oxygen supply of the financial markets. Financial information, or data, is so important that companies such as Barclays and Citigroup now have executive positions of Chief Data Officer or Head of Data Acquisition. This book, by a long-time industry insider at one of the leading data management vendors, discusses the present and future of financial data management by focusing on the lifecycle of the financial instruments (stocks, bonds, options, derivatives) that generate and require data to keep the markets moving. This book is a concise reference manual of the financial information supply chain and how to maximize effectiveness and minimize cost. - First book fully dedicated to financial information supply chain and how to manage it effectively - Addresses hot topics that readers need to know: regulatory reporting regulations, data pooling, hubs, and data exchanges - Draws from actual lessons learned and presents many real-life scenarios of the business

The Trade Lifecycle

The Trade Lifecycle
Author :
Publisher : John Wiley & Sons
Total Pages : 421
Release :
ISBN-10 : 9781119003687
ISBN-13 : 1119003687
Rating : 4/5 (87 Downloads)

Synopsis The Trade Lifecycle by : Robert P. Baker

Drive profit and manage risk with expert guidance on trade processing The Trade Lifecycle catalogues and details the various types of trades, including the inherent cashflows and risk exposures of each. Now in its second edition, this comprehensive guide includes major new coverage of traded products, credit valuation adjustment, regulation, and the role of information technology. By reading this, you’ll dissect a trade into its component parts, track it from preconception to maturity, and learn how it affects each business function of a financial institution. You will become familiar with the full extent of legal, operational, liquidity, credit, and market risks to which it is exposed. Case studies of real projects cover topics like FX exotics, commodity counterparty risk, equity settlement, bond management, and global derivatives initiatives, while the companion website features additional video training on specific topics to help you build a strong background in this fundamental aspect of finance. Trade processing and settlement combined with control of risk has been thrust into the limelight with the recent near collapse of the global financial market. This book provides thorough, practical guidance toward processing the trade, and the risks and rewards it entails. Gain deep insight into emerging subject areas Understand each step of the trade process Examine the individual components of a trade Learn how each trade affects everything it touches Every person working in a bank is highly connected to the lifecycle of a trade. It is the glue by which all departments are bound, and the aggregated success or failure of each trade determines the entire organization's survival. The Trade Lifecycle explains the fundamentals of trade processing and gives you the knowledge you need to further your success in the market.

A Primer in Financial Data Management

A Primer in Financial Data Management
Author :
Publisher : Academic Press
Total Pages : 302
Release :
ISBN-10 : 9780128099001
ISBN-13 : 0128099003
Rating : 4/5 (01 Downloads)

Synopsis A Primer in Financial Data Management by : Martijn Groot

A Primer in Financial Data Management describes concepts and methods, considering financial data management, not as a technological challenge, but as a key asset that underpins effective business management. This broad survey of data management in financial services discusses the data and process needs from the business user, client and regulatory perspectives. Its non-technical descriptions and insights can be used by readers with diverse interests across the financial services industry. The need has never been greater for skills, systems, and methodologies to manage information in financial markets. The volume of data, the diversity of sources, and the power of the tools to process it massively increased. Demands from business, customers, and regulators on transparency, safety, and above all, timely availability of high quality information for decision-making and reporting have grown in tandem, making this book a must read for those working in, or interested in, financial management. - Focuses on ways information management can fuel financial institutions' processes, including regulatory reporting, trade lifecycle management, and customer interaction - Covers recent regulatory and technological developments and their implications for optimal financial information management - Views data management from a supply chain perspective and discusses challenges and opportunities, including big data technologies and regulatory scrutiny

Introduction to Business

Introduction to Business
Author :
Publisher :
Total Pages : 1455
Release :
ISBN-10 :
ISBN-13 :
Rating : 4/5 ( Downloads)

Synopsis Introduction to Business by : Lawrence J. Gitman

Introduction to Business covers the scope and sequence of most introductory business courses. The book provides detailed explanations in the context of core themes such as customer satisfaction, ethics, entrepreneurship, global business, and managing change. Introduction to Business includes hundreds of current business examples from a range of industries and geographic locations, which feature a variety of individuals. The outcome is a balanced approach to the theory and application of business concepts, with attention to the knowledge and skills necessary for student success in this course and beyond. This is an adaptation of Introduction to Business by OpenStax. You can access the textbook as pdf for free at openstax.org. Minor editorial changes were made to ensure a better ebook reading experience. Textbook content produced by OpenStax is licensed under a Creative Commons Attribution 4.0 International License.

Handbook of Financial Data and Risk Information I

Handbook of Financial Data and Risk Information I
Author :
Publisher : Cambridge University Press
Total Pages : 659
Release :
ISBN-10 : 9781107012011
ISBN-13 : 1107012015
Rating : 4/5 (11 Downloads)

Synopsis Handbook of Financial Data and Risk Information I by : Margarita S. Brose

Volume I examines the business and regulatory context that makes risk information so important. A vast set of quantitative techniques, internal risk measurement and governance processes, and supervisory reporting rules have grown up over time, all with important implications for modeling and managing risk information. Without an understanding of the broader forces at work, it is all too easy to get lost in the details. -- Back cover.

Handbook of Financial Data and Risk Information II

Handbook of Financial Data and Risk Information II
Author :
Publisher : Cambridge University Press
Total Pages : 575
Release :
ISBN-10 : 9781107012028
ISBN-13 : 1107012023
Rating : 4/5 (28 Downloads)

Synopsis Handbook of Financial Data and Risk Information II by : Margarita S. Brose

A comprehensive resource for understanding the issues involved in collecting, measuring and managing data in the financial services industry.

Financial Data Engineering

Financial Data Engineering
Author :
Publisher : "O'Reilly Media, Inc."
Total Pages : 507
Release :
ISBN-10 : 9781098159962
ISBN-13 : 1098159969
Rating : 4/5 (62 Downloads)

Synopsis Financial Data Engineering by : Tamer Khraisha

Today, investment in financial technology and digital transformation is reshaping the financial landscape and generating many opportunities. Too often, however, engineers and professionals in financial institutions lack a practical and comprehensive understanding of the concepts, problems, techniques, and technologies necessary to build a modern, reliable, and scalable financial data infrastructure. This is where financial data engineering is needed. A data engineer developing a data infrastructure for a financial product possesses not only technical data engineering skills but also a solid understanding of financial domain-specific challenges, methodologies, data ecosystems, providers, formats, technological constraints, identifiers, entities, standards, regulatory requirements, and governance. This book offers a comprehensive, practical, domain-driven approach to financial data engineering, featuring real-world use cases, industry practices, and hands-on projects. You'll learn: The data engineering landscape in the financial sector Specific problems encountered in financial data engineering The structure, players, and particularities of the financial data domain Approaches to designing financial data identification and entity systems Financial data governance frameworks, concepts, and best practices The financial data engineering lifecycle from ingestion to production The varieties and main characteristics of financial data workflows How to build financial data pipelines using open source tools and APIs Tamer Khraisha, PhD, is a senior data engineer and scientific author with more than a decade of experience in the financial sector.

An Introduction to Trading in the Financial Markets

An Introduction to Trading in the Financial Markets
Author :
Publisher : Academic Press
Total Pages : 496
Release :
ISBN-10 : 9780123748409
ISBN-13 : 0123748402
Rating : 4/5 (09 Downloads)

Synopsis An Introduction to Trading in the Financial Markets by : R. Tee Williams

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An Introduction to Trading in the Financial Markets SET

An Introduction to Trading in the Financial Markets SET
Author :
Publisher : Academic Press
Total Pages : 2323
Release :
ISBN-10 : 9780123849731
ISBN-13 : 012384973X
Rating : 4/5 (31 Downloads)

Synopsis An Introduction to Trading in the Financial Markets SET by : R. Tee Williams

How do financial markets operate on a daily basis? These four volumes introduce the structures, instruments, business functions, technology, regulations, and issues commonly found in financial markets. Placing each of these elements into context, Tee Williams describes what people do to make the markets run. His descriptions apply to all financial markets, and he includes country-specific features, stories, historical facts, glossaries, and brief technical explanations that reveal individual variations and nuances. Detailed visual cues reinforce the author's insights to guide readers through the material. This book will explain where brokers fit into front office, middle office, and back office operations. - Provides easy-to-understand descriptions of all major elements of financial markets - Heavily illustrated so readers can easily understand advanced materials - Filled with graphs and definitions that help readers learn quickly - Offers an integrated context based on the author's 30 years' experience

An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation

An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation
Author :
Publisher : Academic Press
Total Pages : 472
Release :
ISBN-10 : 9780080951164
ISBN-13 : 0080951163
Rating : 4/5 (64 Downloads)

Synopsis An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation by : R. Tee Williams

Succeeding in the financial markets requires a mastery of many disciplines. Mastery begins with understanding the actors, rules, and dynamics and the ways in which they interact. This volume, the last of a 4-volume series, presents a broad perspective on key subjects such as regulation and compliance, risk and ways to mitigate it, and the directions in which trading markets might evolve. Like its predecessors, it presents alternative versions of the future: will the sell side or buy side come to dominate, for example, and how might new technologies shape global markets? Mastery of the financial markets begins with its authoritative, heavily illustrated presentation. - Presents a high-level view of global financial markets, including institutions, instruments, and dynamic interactions - Describes the assumptions and expectations of market participants - Heavily illustrated so readers can easily understand advanced materials