The Trade & Transaction Reporting Summit is a premier event focusing on the latest developments in regulatory reporting across the UK and EU. Organized by Informa Connect, this summit brings together industry leaders, policy shapers, and data experts to address challenges and share insights in trade and transaction reporting.
Key topics covered include the application of artificial intelligence within trade and transaction reporting, the future of regulatory reporting in Europe, maintaining high-quality data within organizations, and navigating compliance challenges in decentralized finance (DeFi). Sessions also delve into MiFID post-trade transparency and the utilization of consolidated tape for high-quality data.
The event features networking opportunities, allowing attendees to connect with peers, regulators, and industry experts. Notable speakers include Hayley McDowell, Head of European Market Structure at RBC Capital Markets; Tin Lau, Chief Risk Officer at Mirae Asset Securities UK; and Kathryn Cenac, Director of Regulatory Services at Bank of Montreal.
This summit is ideal for professionals involved in regulatory reporting, compliance, and data management within financial services. Attendees will gain valuable insights into current challenges, emerging trends, and best practices, enhancing their ability to navigate the evolving regulatory landscape.
Speakers(26)
Adam Turnbull
Global Co-Head Regulatory Engineering at Goldman Sachs
Adam is global head of Regulatory Engineering for Goldman Sachs, based in London. His team covers all aspects of non-financial regulatory reporting across a wide range of products and jurisdictions. He has been responsible for a number of major regulatory implementations, particularly MiFID II and Global Swap Dealer Reporting. Prior to this, Adam has over 15 years of experience as a technology leader within Front Office across all aspects of Equity Trading, including both cash and derivative products. In this role, Adam specialized in post-trade processing and efficiency and establishing STP flows to other areas of the bank. Adam holds a Masters in Engineering from Cambridge University.
Brian Pinto
Transaction Reporting Services Product Manager at MarketAxess
Chad Giussani
Independent Compliance Advisor at Independent
Chad Giussani led the Compliance team for Financial Markets Operations at Standard Chartered Bank, including global trade and transaction reporting obligations. He has been involved with regulatory trade and transaction reporting since 2006, covering MiFID, Dodd-Frank, EMIR, and more recently many other G20 risk reporting and prudential jurisdictional requirements. Chad originally worked in the transaction reporting vendor area before moving into a leadership role within investment banking technology, then onto business change and more recently into compliance. Chad represented Standard Chartered at the trade and transaction reporting industry working groups with various trade associations including ISDA, BBA, FIA, and AFME on the emerging rules and regulations and is the former Chairman of the Regulations Business Unit at ISITC Europe.
Daniel Mathews
Transparency Services Senior Product Manager at MarketAxess
Dawd Haque
Global Lead Market Initiatives, Regulatory Transformation & Strategy at Deutsche Bank AG
Dawd is the Global lead for the COO Regulatory Market Initiatives function at Deutsche Bank. He represents Deutsche Bank on multiple Trade Association Committees and Working Groups at ISDA, AFME, FIA, GFMA, ICMA, and UK Finance. Dawd represents Deutsche Bank on the DTCC Global Trade Repository Steering Committee. He is a member of the BoE Wholesale Working Group & Transforming Data Collection Standards Committee, The British Standards Institute IST/12 Financial Services Committee representing the UK at ISO, TC68/AG5 the Digital Currency Advisory Group & the ISO Derivatives SubSEG. He is a member of the DSB ANNA Product Committee, Non-Standard Taskforce & Digital Asset Strategy Sub-Committee, The Global Legal Entity Identifier Foundation (GLEIF) Globally Important Financial Institutions (GIFI) Relationship Group, EuroFiling, Reporting & Reference Data SIG & the Global Derivatives Digital Regulatory Reporting Group. He has chaired numerous industry initiatives to create Global Industry best practices in Regulatory Reporting and was invited to provide input to the FSB GUUG and CPMI-IOSCO global reporting harmonization initiatives for UTI, UPI, and CDE as a financial derivative industry expert. Prior to joining Deutsche Bank, Dawd has worked at Barclays, Bank of America, Goldman Sachs, Northern Rock, BNP Paribas, JP Morgan, Royal Bank of Scotland, Standard Chartered Bank, UBS, and the EBRD in various Front Office and Regulatory roles.
Emma Kalliomaki
Managing Director at Derivatives Service Bureau (DSB)
Grant Haley
Director at First Derivative
Hayley McDowell
Head of European Market Structure at RBC Capital Markets
Hayley is Head of European Market Structure at RBC Capital Markets. She joined the firm in 2021 after almost seven years working as a Senior Journalist and then Editor of London-based buy-side trading publication, The TRADE. Hayley’s focus at RBC is to provide timely insights on key market structure and regulatory developments to clients and colleagues, working alongside the product and quant teams and leveraging market structure trends to strengthen RBC’s low-touch trading offering. Hayley is also a member of several industry working groups at key trade associations, including AFME, ICMA, and FIX Trading Community.
Hussain Abdullah
Director - EMEA Head of Trade & Transaction Reporting Regulatory Operations at Citi
Jaime Ricks
Analyst, Capital Markets & Wholesale Policy at UK Finance
James Cunningham
Senior Director / Public Policy & Government Affairs at BNY
John Laichena
Director at KOR Financial
Karan Kapoor
Head of Regulatory Advisory and Solutions at Delta Capita
Kathryn Cenac
Director - Regulatory Services at Bank of Montreal
Kathryn has worked in global investment banking now for over 20 years. Initially working in middle office roles within Capital Markets, building a detailed understanding of the products, lifecycle events, and control environment and then latterly transferring that knowledge to regulatory reporting challenges; overseeing daily reporting and designing and implementing global control frameworks. Kathryn has spent the last 3 years at Bank of Montreal building out the Regulatory Solutions Group in London to support the UK & European Trade and Transaction Reporting regulations, including EMIR.
Mark Burnal
Head of Regulatory Operations & Fund Data at Man Group
Mark Burnal is the Head of Regulatory Reporting and Infrastructure for Man Group Operations. He is responsible for ensuring the firm’s funds meet their ongoing regulatory transaction reporting obligations. He is also responsible for ensuring fund operational infrastructure is set up to meet ongoing operational requirements for trading and investment purposes. Previously, Mark held various positions across Man’s operational business, including Head of Cash Management and Head of Man Middle Office Structured Products, as well as acting as a Business Change Manager. Prior to joining Man Group in 2003, Mark worked as an accountant within tax at PricewaterhouseCoopers.
Mark Steadman
Global Head of Report Hub at Delta Capita
Martin Kalnins
Regulatory Specialist at Swedbank
Matthew Ranson
CEO & Co-Founder at Novatus Global
Pablo Garcia
Associate Director at AFME
Philip Read
Regulatory Change Europe at National Australia Bank
Richard Kind
Technical Specialist at FCA
Robert Morel
Independent ISITC Europe AI partner at Independent
Scott Charity
Senior Market Intelligence Specialist & Regulatory Affairs at Berenberg
Tala Gesmundo
Business Analyst at Macquarie Group
Tin Lau
CRO at Mirae Asset Securities UK
Tony Holland
Head of Market Structure at ISLA
Event Details
- Date
- March 17, 2026
- Location
- 🇬🇧 London, United Kingdom
- Crowne Plaza London - Kings Cross by IHG
- Audience
- Professionals in regulatory reporting, compliance, and data management within financial services.