The Covid-19 pandemic has shaken financial institutions’ working practices to the core. Trading volumes have exploded, with some venues recording more than 10X the usual volume of transactions. Volatility has raged, with the benchmark VIX index testing new highs. And nor are these one-offs; the impact has been sustained since the virus hit in early March and the outlook is for more of the same.

In response to lockdowns imposed by governments across the globe, financial firms have moved all but small elite teams out of their headquarters buildings and regional offices. Staff have been redeployed to business continuity programme (BCP) or disaster recovery (DR) sites where available. But the majority have been forced to work from home, for the most part on unfamiliar IT and office equipment that in many cases is not best fit for purpose.
 
While the high volumes and volatility can reasonably be expected to return to more familiar levels as the pandemic ultimately recedes, firms are having to face the prospect that home-working will remain as a kind of ‘new normal’ for a substantial portion of their staff.
 
As a result, firms are now evaluating what they need to optimise the performance of their teams as they endure fragmentation across multiple physical sites and sub-par equipment at home. Regulated entities will need to meet their reporting obligations, requiring secure and robust communications as well as access to enterprise systems.
 
This webinar looks at the current infrastructure situations facing financial firms as they deal with extended lockdowns across multiple centres. It identifies functional areas posing particular challenges, and discusses how a mix of cloud, third-party data centre and interconnection can be co-opted to ensure maximum performance from home-working staff.

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16:00 - 17:00 hs GMT+1

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