Llavan sivaloganathan (5 risultati)

- Brossura
Da: PBShop.store US, Wood Dale, IL, U.S.A.PBShop.store US
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 35,39
Spedizione gratuitaSpedito in U.S.A.Quantità: Più di 20 disponibili
PAP. Condizione: New. New Book. Shipped from UK. Established seller since 2000.

- Brossura
Da: PBShop.store UK, Fairford, GLOS, Regno UnitoPBShop.store UK
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 32,60
EUR 4,84 spedizioneSpedito da Regno Unito a U.S.A.Quantità: Più di 20 disponibili
PAP. Condizione: New. New Book. Shipped from UK. Established seller since 2000.

- Brossura
- Print on Demand
Da: Grand Eagle Retail, Bensenville, IL, U.S.A.Grand Eagle Retail
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 32,54
Spedizione gratuitaSpedito in U.S.A.Quantità: 1 disponibili
Paperback. Condizione: new. Paperback. What actually happens inside a bank's markets division - from the moment a trade executes to the moment it settles?Most finance textbooks teach theory. Most training programmes teach products. Nobody teaches the full operational picture: how trades move from execution through confirmation, clearing, and settlement; how collateral is managed; how OTC derivatives are documented, reported, and margined under EMIR; how risk is monitored in real time by middle office; and how the front, middle, and back office interact as one system.Market Mechanics fills that gap.Written by a former Director at Citigroup with 20+ years across capital markets at Citi, Barclays, Deutsche Bank, and Bank of America - and an MBA from London Business School - this is the plain-English guide to how a bank's markets business actually works.What you will learn: The complete trade lifecycle - pre-trade through post-settlementHow OTC derivatives are structured, confirmed, and clearedWhat central counterparties (CCPs) do and why they matter post-2008How EMIR and MiFID II shape daily operationsCollateral management and the Uncleared Margin Rules (UMR)How market risk, credit risk, and operational risk are managedThe roles of sales, trading, structuring, product control, and operationsWho this book is for: Finance graduates joining markets businesses. Operations and middle office professionals building a full-picture understanding. Candidates preparing for markets and operations interviews. Anyone working in or around a bank who has always wanted to understand how the whole system fits together.246 pages. 22 chapters. 75+ diagrams. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.…

- Brossura
- Print on Demand
Da: California Books, Miami, FL, U.S.A.California Books
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 32,55
Spedizione gratuitaSpedito in U.S.A.Quantità: Più di 20 disponibili
Condizione: New. Print on Demand.

- Brossura
- Print on Demand
Da: CitiRetail, Stevenage, Regno UnitoCitiRetail
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 36,51
EUR 43,02 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 1 disponibili
Paperback. Condizione: new. Paperback. Most people who work in finance don't understand how the bank around them actually works. Traders don't know what happens after they execute a trade. Operations teams don't know why the trade was done in the first place. Technology and risk professionals build systems for processes they've never seen end to end. Students preparing for banking careers memorise terms they've never seen in context. Market Mechanics fixes that. Written by a former Citigroup markets professional, this is the complete plain-English guide to how a bank's markets business really works - from the first client call to the last regulatory report, covering every team, every product, and every stage of the trade lifecycle. What this book covers: The Front Office - how Sales, Trading, and Structuring operate across Rates, FX, Credit, Equities, Commodities, and Structured ProductsThe complete trade lifecycle - confirmation, clearing, settlement, collateral management, reconciliation, and regulatory reporting (EMIR, MiFID II, SFTR)The Middle Office - independent P&L verification, IPV, risk limits, and valuation governanceOperations - settlement fails, SSI management, corporate actions, and the daily margin cycleFinance, Risk & Compliance - regulatory capital (Basel III/FRTB), CVA, SMCR, and the three lines of defenceA complete end-to-end case study: one 500m interest rate swap traced through every team from execution to maturityInterview preparation, regulatory reference numbers, term sheet walkthroughs, and a 75-term plain-English glossaryWho this book is for: Investment banking analysts and associates who want to understand the full picture beyond their own desk. Operations, technology, risk, and compliance professionals who need context for the work they support. MBA students and finance undergraduates preparing for capital markets careers. Anyone joining a bank, an asset manager, a hedge fund, or a fintech who needs a fast, authoritative foundation. Two books in one volume. Part One is a high-level overview readable in a single sitting - the essential mental model for any role. Part Two is the full technical reference, with worked examples using real market numbers, that practitioners return to throughout their careers. No prior knowledge of finance is assumed. Every concept is explained from first principles, illustrated with a purpose-built diagram, and grounded in realistic worked examples drawn from actual market practice. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.…