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Transforming IRRBB into a strategic advantage
Forward-thinking banks are transforming IRRBB from a regulatory obligation into a strategic tool
The Term €STR transition: challenges and market readiness
The progress, challenges and factors shaping the adoption of Term €STR as financial institutions transition from Euribor
Future-ready markets: turning data challenges into opportunities
This white paper explores data management modernisation, enabling firms to stay relevant and future-proof success.
Practical considerations for effective liquidity management in financial institutions
Strategies and best practices for ensuring financial stability and resilience
Sound liquidity management practices
Ensuring robust liquidity frameworks to navigate market fluctuations and sustain long-term operations
From turbulence to triumph: a guide to pension fund resilience
How pension funds are using modern technology to harness opportunities for resistance and recovery
The shift to real-time in treasury and capital markets
The transition to real-time processing is under way in treasury departments
Managed services: exploring new and fundamental concepts
The role of managed services in the financial software services industry
Beyond tradition: the evolution of Islamic finance in a modern economy
Islamic finance is witnessing a significant transformation, particularly in the realm of treasury and investment products
The hidden cost of collateral
As costs rise and high-quality collateral becomes scarcer, improved collateral management is on the radar
Emir Refit: a seismic change to derivatives reporting
What the Emir Refit involves and how banks can use it to their long-term advantage
Predictive analytics and beyond
The future of treasury with GenAI
Innovation in bank treasury management
Harnessing GenAI for enhanced decision-making
Lifting the game on ICAAP and unlocking business value by making money do more
How the logical building blocks of a bank’s ICAAP align with the functionality embedded within the FIS Balance Sheet Manager solution
Market infrastructure modernisation: defining your strategy to prepare for the next wave of change
An insider’s perspective: keys to modernisation success
Boosting regulatory assessment with GenAI: Prometeia’s use case for credit risk models
Prometeia’s GenAI tool provides institutions with the technology to remain competitive and compliant in a complex regulatory environment
Drawing the road map for digital treasury in banking: part two
Negotiate the way forward with open technologies and Rest APIs
Drawing the road map for digital treasury in banking
Why the ‘new normal’ requires a more proactive approach that looks beyond basic automation
Interest rate risk in the banking book: strategic considerations for IRRBB holistic risk management
Understanding the history, principles and current landscape of the IRRBB standard is essential for comprehensive risk management
The billion-dollar data reckoning question: how can your trade surveillance team avoid the next nine-figure fine?
With regulators levying existential fines for incomplete or flawed data, every transaction, venue and product must be accounted for with precision. How will this relentless focus on data reshape the roles of surveillance teams, the expectations on…
Asset and liability management: the nerve centre of modern banks
Regulatory and compliance mandates can be complex and challenging. Therefore, a multiple-view approach to ALM, regulations and finance within the organisation, is key
Winds of change 2025: spotting opportunities after peak yields
Assessing the outlook for the US fixed income market and emerging and developing market debt, as the tariff war ramps up.
In search of a global ESG risk and reporting framework
Short summary: Banks are turning towards technology to improve ESG reporting and reduce related financial risks
Navigating carbon emissions markets
What the future hold for carbon emissions markets