Back-office operations

The objective of this seminar is to set out the various back-office operations in a central bank and analyse the processing chain and the related risks.

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Dates: 29 November – 2 December 2021

Apply before: 29 September 2021

Language: English and French with simultaneous interpretation

Location: Paris

Contact: Yasmina SAFY

E-mail: Backoffice@banque-france.fr

Content

This seminar will cover the following topics:

  • Organization and governance of the Markets function
  • Overview of recent trends in foreign reserve management
  • Definition of back-office operations and scope of application
  • Processing chain for:
    • Foreign exchange operations
    • Euro-denominated and FX-denominated portfolio management
    • Customers’ operations and back-to-back transactions on the market
    • Custody of financial instruments,
  • Accounting of market and securities transactions,
  • IT-related issues (cyber-risk, resilience/ business continuity) and static data
  • Operational risk management and compliance requirements for these activities.

Participants

This seminar is intended for central bank managers in charge of back-office operations (money market, foreign exchange market, securities transactions).

 

Updated on: 08/21/2020 11:38