James Sehgal
SME, XVA, Risk and Collateral
Tonic Consultancy
London, United Kingdom
About me
James has over 27 years’ in Captial Markets space, in Trading, Risk Management, XVA portfolio management, Consulting, Governance and Product Development roles. He has held senior management roles at Global Banks in both Trading and Risk and has extensive experience in XVA, market Credit, Liquidity, Funding, Counterparty Exposure Risk Management. He also has extensive experience in Clearing and Margining at CCP and bilateral margining. More recently he has been Chief Product Officer at a FinTech company for SaaS application for Central Clearing and is currently also XVA and Risk Advisory to Tonic Consulting. At Tonic he is heading the development of a new XVA function at a global commodity asset manager.
My organisation
Tonic is an expertise-led consultancy, providing advisory, education & transformation services across collateral, post-trade, risk, treasury, digital & more. Our transformation and cross-domain expertise, combined with our client-focus, means that we accelerate your firm's objectives across the front-to-back trade lifecycle. We do this with tailored solutions based on your unique, evolving needs. We are an Anti-Consultancy Consultancy. Anti-generalists. Anti-inaction. Anti-routine. https://www.thetonicconsultancy.com/
Speaker sessions (1)
Thursday, 5 September 2024
14:00 - 14:40
Intraday liquidity management, part 2: The investor-side and corporate view
- Collateral and liquidity
- Technology
- Sourcing and procurement
From the UK gilt crisis of 2022 to the impact of the US’ move to T+1 on European markets, liquidity has been a topic on everyone’s mind in recent years. How can the buy-side be better equipped for liquidity risks? The investors and corporates weigh in.