"Journal of Supply Chain Management, Logistics and Procurement provides a unique locus of information, data, and case studies for the public, private, and academic sectors, while helping lead to a better understanding of the industry and its effects on day-to-day living."
Volume 7, 2014-15
Each volume of Journal of Securities Operations & Custody consists of four quarterly 100-page issues. The articles published in Volume 7 were:
Volume 7 Number 4
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Intelligent network management contingency
Dominique Ansiaux, Head of Cross Services and Control, BNP Paribas -
Managing cross-regulatory data challenges in practice
Chris Johnson, Senior Product Manager, Market Data Services, HSBC Securities Services -
Evolving financial benchmarks: The impact on legacy contracts
Joanna Perkins, Chief Executive and Paul Mortby, Project Assistant, Financial Markets Law Committee -
Collateral management: Recurring issues and emerging trends
Andrea Tranquillini, Managing Director Business Development, globeSettle SA -
Reviewing the implementation of T+2, the impact on the industry and what comes next (T2S)
Søren Mortensen, Director of Business Transformation, IBM Banking & Financial Markets -
The evolution of EEA transaction reporting
Matthew Vincent, Director, Head of UK Transaction Reporting & External Regulatory Lead IB Regulatory Services, Credit Suisse and David Nowell, Head of Industry Relations and Regulatory Compliance, Unavista, London Stock Exchange -
The operational challenges of adopting the LEI
Paul Janssens, LEI Programme Director, SWIFT -
Coping with European regulatory requirements for automated trading: Best practices and new requirements resulting from regulation
Gunnar Stangl, Head of Regulatory Coordination, Commerzbank -
The drivers behind the reporting obligations of EMIR, MiFIR and SFTR
Julien Jardelot, Legal Officer, and Martin Mitov, Policy Officer, European Commission -
Funding of research under MiFID II
Tim O'Halloran, Co-President, Westminster Research Associates and Principal, ConvergEx Group -
The Mexican transparency standoff: What will you do 'next time'?
Alaric Gibson, Research Analyst and Dan Simpson, Head of Research, JWG
Volume 7 Number 3
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Industrialisation of the back-office function
Pierre Colladon, Senior Adviser, Strategy for Market Infrastructure, Societe Generale Securities Services -
Central securities depositories regulation: The next systemic crisis waiting to happen?
Koen Vanderheyden, Partner, DLA Piper and Tim Reucroft, Director of Research, Thomas Murray Advisory Services -
Asset managers and outsourced activities: What other industries can learn
Susan Wright, Senior Adviser, Regulation, Investment Management Association -
Measuring performance for ‘long-horizon’ investing
Kyle Ringrose, General Manager, Investment Operations, QSuper -
Securities lending as part of responsible and risk-averse asset management
Roelof van der Struik, Investment Manager, PGGM -
Legal contract data: The new reference data challenge for financial firms
Akber Datoo, Founder, D2 Legal Technology -
The application of mathematical models to measure collateral concentration risk
Martin Seagroatt, Head, Global Marketing and Ed Cockram, Director, Product Consultant, 4sight Financial Software -
A modest proposal: Right-sizing exchange immunity
Zachary J. Flati, University of San Diego
Volume 7 Number 2
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Investigating the role of the sub-custodian in risk mitigation and who bears the sub-custodian risk
Günter Schnaitt, Head of Global Securities Services Austria, Unicredit -
A radically new market environment requires comprehensive data-driven digital collateral management
Michael Barrett, VP and Global Head of Collateral Management Services and Solutions, Genpact Capital Markets -
More resilient, better managed, less complex: Strengthening financial market utilities and linkages in the system
Sarah J. Dahlgren, EVP and Head, Financial Institution Supervision Group, Federal Reserve Bank of New York -
Protecting collateral contributions under the mandatory clearing regime
Eugene Stanfield, Head of OTC Clearing, Commerzbank -
Chasing shadows? The FCA and the measurement of 'culture'
Gary Pitts, Managing Partner, Tetractys Partners and Terry Grourk, Managing Director, Enhancing Surveys -
When does a company have the choice to waive its attorney-client privilege in the USA?
Linda Riefberg, Member and Christopher Passavia, Associate, Cozen O’Connor -
Getting ready for TARGET2 Securities (T2S): The time is now
Tim Garnons-Williams, Senior Business Analyst, Post-Trade Securities, SunGard -
Corporate governance for financial market infrastructures
Ana Giraldo, Associate Director, Thomas Murray
Volume 7 Number 1
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Collateral is the new cash: The systemic risks of inhibiting collateral fluidity
Andy Hill, Director of Regulatory Policy and Market Practice, International Capital Market Association -
Client clearing: Portability between clearing members
Mark Ho, Regulatory Reform Advisor, Standard Chartered -
Societe Generale Corporate & Investment Banking case study: How we monitor market risk
Pascal Beurotte, Project Director, Regulatory Programs, Societe Generale Corporate & Investment Banking, and Georges Bory, Managing Director and Co-Founder, Quartet FS -
Regulations impacting corporate actions and best practices for implementation
Deborah Culhane, Senior Vice President, Fidelity ActionsXchange -
Developing a straight-through process for corporate actions in Australia
Karen Webb, Manager, Settlement Services, Australian Securities Exchange -
The EMIR compliance game
Emily Cates, Operational Processing Specialist, Rule Financial -
Withholding tax: Issues for securities operations and custody
Ross McGill, Managing Director, GlobeTax -
Banking without banks: Exploring the disruptive effects of converging technologies that will shape the future of banking
Andrew Walker, Co-Founder, Tweetminster -
Eight practices for successful functional testing of an investment management system
Sandilya B. Vasanth, Senior Consultant, Infosys