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EVENT DETAIL

Dodd-Frank and Other International Developments Affecting the Global Financial System After the Crisis

Wednesday, October 27, 2010 1:00 p.m. - 5:45, followed by a reception

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Program Chair: Michael M. Wiseman
Sullivan & Cromwell LLP

The global financial crisis has sparked sweeping changes in the regulation of the financial system. The New York City Bar has organized a two-day event to discuss developments in key areas, including: capital, resolution, regulation, proprietary trading, derivatives and compensation.

This program is targeted to inside and outside legal counsel, consultants, financial professionals and members of the regulatory and academic communities.

Wednesday, October 27

1:00 PM – 1:45 PM Supervision and Examination in the Post-Crisis World
Speakers: Brian Peters, Senior Vice President, Federal Reserve Bank of New York; Deborah P. Bailey, Director, Bank Regulatory, Deloitte & Touche LLP; Erin Mansfield, Barclays Capital

1:45 PM – 2:30 PM Resolution and Living Wills
Speakers: Seth Grosshandler, Cleary Gottlieb Steen & Hamilton LLP; Rebecca J. Simmons, Sullivan & Cromwell LLP; Andrew V. Waskow, Vice President, Associate General Counsel, Goldman Sachs & Co.; Reena Agrawal Sahni, Davis Polk & Wardwell LLP

2:30 PM – 3:15 PM Consumer Protection
Speakers: Elizabeth McCaul, CEO of Promontory Europe, Partner-in-Charge, New York Office, Promontory Financial Group; Charles F. Bowman, Global Compliance Risk Executive, North Carolina Market President, Charlotte Market President,Bank of America; Barbara Kent, President, Coalition for Debtor Education, New York Law School, David Luigs, Counsel in Banking Group and Financial Institutions Group, Debevoise & Plimpton LLP

3:15 PM – 4:00 PM Volcker Rule
Speakers: Randall D. Guynn, Davis Polk & Wardwell LLP; Michael M. Wiseman, Sullivan & Cromwell LLP; Donald A. Bendernagel, Managing Director and Counsel, Citigroup Capital Markets

4:00 PM – 4:15 PM Break
4:15 PM – 5:00 PM Derivatives Trading and Clearing
Speakers: Bryan Murtagh, UBS AG; Kenneth Raisler, Sullivan & Cromwell LLP; John Ramsay, Deputy Director, Division of Trading and Markets, Securities and Exchange Commission; Steven M. Bunkin, Managing Director and Associate General Counsel, Goldman Sachs & Co.

5:00 PM – 5:45 PM European Perspectives on the Post-Crisis Banking Market
Speakers: Daniel Daeniker, Homburger AG; Charles Randell, Slaughter and May; Wolfgang Feuring, Sullivan & Cromwell LLP; Robin Maxwell, Linklaters LLP

5:45 PM – 6:30 PM Cocktails

Thursday, October 28

9:00 AM – 10:00 AM Capital and Liquidity Requirements
Speakers: Mark J. Welshimer, Sullivan & Cromwell LLP; Robert E. Motyka, Senior Project Manager, Board of Governors of the Federal Reserve System; Jim Mannoia, Vice President, Goldman Sachs & Co.

10:00 AM – 11:00 AM What If There Were Another Lehman/AIG Weekend?
Speakers: Thomas C. Baxter, Jr., Executive Vice President and General Counsel, Federal Reserve Bank of New York; Marshall S. Huebner, Davis Polk & Wardwell LLP; George W. Madison, General Counsel, U.S. Department of the Treasury

11:00 AM – 11:15 AM Break
11:15 PM – 12:00 PM M&A Landscape
Speakers: Mitchell S. Eitel, Sullivan & Cromwell LLP; Maripat Alpuche, Simpson Thacher & Bartlett LLP; Nicholas G. Demmo, Wachtell, Lipton, Rosen & Katz, Brad Whitman, Co-Head of Financial Institutions M&A, Barclays Capital, William L. Taylor, Davis Polk & Wardwell LLP

12:00 PM – 12:45 PM Role of Rating Agencies
Speaker: Jamie L. Kogan, Associate General Counsel, Moody’s Investors Service; Ronald O. Mueller, Partner, Gibson, Dunn & Crutcher; Francis Phillip, Fitch Ratings

12:45 PM – 1:30 PM Compensation Programs
Speakers: Jeffrey J. Hurd, Head of Human Resources, AIG; Mitchell Schultz, Global Head of Compensation and Benefits, AIG; Alan Johnson, Managing Director, Johnson Associates; Marc R. Trevino, Sullivan & Cromwell LLP