Resolutions in the New Year: The Volcker Rule

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Resolutions in the New Year: The Volcker Rule

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Do you and your company have a New Year’s resolution to stay on top of the changes in the compliance industry? Stick to them and join us for a complimentary webinar, Resolutions in the New Year: The Volcker Rule, on Thursday, January 26th, at 11am EST/4pm GMT. Industry expert Suzanne Calcagno will explore the recent updates on the Volcker Rule and help you prepare to adjust to the changes. Topics to be discussed are:
  • Volcker Rule Overview & Recent Developments
  • Discussion of Permitted Activities & Investments
  • Identifying & Demonstrating Compliance
  • Market Impact of Uncertainty & Eventual Implementation
  • The Impact of the 2012 Political Cycle
  • The Path Forward

Speaker:

Suzanne Calcagno
Regulatory Consultant

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Suzanne Calcagno was most recently a Director in RBC’s Capital Markets Law Group and provided regulatory advice and transactional support to the firm's capital markets businesses. In that capacity she also worked with the firm's senior business leaders to design and pursue strategies for both advocacy and implementation surrounding global regulatory reform initiatives such as the Dodd-Frank Act, with focus on all aspects of Title VII and key provisions like the Volcker Rule. Prior to joining RBC, Suzanne worked at both Morgan Stanley and UBS Investment Bank where she lead the Commodities Compliance teams, building programs for each firm that blended the regulatory requirements of the Federal Reserve, CFTC, SEC and the FERC in the context of a global bank holding company structure. Suzanne began her career in the energy industry, working at KeySpan Energy (National Grid) as Director of Regulatory Affairs from 1993-2000, and then at Enron North America, where she provided market analysis and regulatory expertise to the firm's US natural gas desks in addition to representing the firm in proceedings before the FERC and other regulatory entities. During her career, she has been instrumental in the establishment of the Energy Compliance Network and the Financial Institutions Energy Group, and served on the Executive Committee of the North American Energy Standards Board, working primarily on industry reform initiatives. She received her JD from St. John's University School of Law, and her Bachelor's degree in Business Management & Political Science from St. Francis College.


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