The compliance requirements of Markets in Financial Instruments Directive II (MiFID II) are complex and far reaching, calling on firms within the scope of the regulation to dig deep before deadline day on January 3, 2018. While timing is tight, some of the challenges presented by MiFID II can be addressed using a strong, yet flexible, security master providing complete and high-quality entity, instrument and listings data. This webinar will consider the importance of a strong security master to regulatory compliance at large, and focus on how such a solution can support the investor protection and transparency aspects of MiFID II.
Join the webinar to find out about:
Moderator: Sarah Underwood, Editor, |
Heiko Stuber, Senior Product Manager, SIX |
Heiko Stuber
Senior Product Manager
SIX
Heiko gained extensive experience within the investments banking area as principal consultant and project manager for international banks, commodity trading companies and utility providers. At SIX he is responsible for identifying market trends and customer requirements in the regulation area and to define solutions that mitigate clients’ risks – such as regulatory reporting, MiFID, AIFMD, etc.