Standing Committees

Much of ESMA’s work is supported by Standing Committees (SC), working groups and task forces, which draw together senior experts from National Competent Authorities (NCAs). The different ESMA SCs are established on a permanent basis. Each Standing Committee is normally chaired by senior representatives of NCAs or by senior ESMA staff and supported by ESMA staff who act as rapporteurs. Most of the Standing Committees also have consultative working groups made up of external stakeholder representatives.

However, the ultimate decision making body of ESMA is the Board of Supervisors, whereas the Management Board deals with the management of the Authority.

In addition to the Standing Committees outlined below,

  1. the European Markets Infrastructure Regulation (EMIR) established the CCP Supervisory Committee (CCP SC) which is composed of representatives from NCAs supervising CCPs and relevant EU Central Banks of Issue (CBIs), dealing amongst others with EU CCP supervisory convergence and third-country CCP supervision and
  2. the CCP Recovery and Resolution Regulation (CCP RRR) established the CCP Resolution Committee (CCP RC) which is composed of from designated CCP resolution authorities, dealing among others with promoting the drawing up and coordination of resolution plans and develop methods for the resolution of failing CCPs.
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Horizontal Standing Committees

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Risk Standing Committee - RSC

The main tasks of the Risk Standing Committee (RSC) are to coordinate financial stability issues and to conduct the assessment of risks and the analysis of market trends.

The RSC focuses on risk monitoring and the analysis of economic, market, and financial stability developments across ESMA’s remit (including macro-prudential risks) with the aim of contributing to ESMA’s strategic priorities in the area of effective markets and financial stability, including through the development of risk indicators and the promotion of joint analytical methods. The RSC also covers the analytical work on market developments trends related to sustainable finance, retail investor protection and financial innovation.

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Chair: George Theocharides, Chairman, Επιτροπή Κεφαλαιαγοράς Κύπρου (CySEC), Cyprus

▸ Terms of Reference

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Consultative Working Groups
Financial Stability and Risk Monitoring Working Group (FRWG)
Member Organisation
Phil Mackintosh NASDAQ OMX
Sophie Moinas University of Toulouse
John Cotter University College Dublin
Axel Brabant LCH Clearnet
Christof Stahel ICI/ICI Global
Sylvain Broyer S&P
Christoph Kaserer Technical University Munich
Filippo Ippolito University Pompeu Fabra Barcelona
Giovanni Petrella Catholic University Milan
Hester Serafini ICE Global
Jose-Luis Peydro University Pompeu Fabra Barcelona / Imperial College
Luc Neuberg Luxemburg Risk Management Association
Manuela Geranio Bocconi University Milan / University of Bergamo
Sebastien Commain Better Finance
Stefan Hofrichter Allianz Global Investors
Susanne Gahler  Independent
Paul Besson Euronext
Antonio Mele University of Lugano / Swiss Finance Institute
Patrick Seifert Landesbank Baden Wuerttemberg
Fredrik Bonthron Swedish Trading venue association
 
Investor Trends and Research Working Group (IRWG)
Member Organisation
Emanuele Bajo Bologna University
Keith Bear University of Cambridge
Florian Berg MIT
Kris Boudt  Sentometrics/Brussels University
Marie Briere Amundi Institute
Marina Brogi Sapienza University
Bernard Delbecque Efama
Jesse Collin Finnish Foundation for Share Promotion
Alessandra Maria Franzosi Prometeia
Luca Giordano Unipol
Olena Havrylchyk University Paris 1 Panthéon-Sorbonne
Hélène Lanier 2 DEGREES INVESTING INITIATIVE 
Caterina Lucarelli Universita politecnica Marche
Emmanuel Mamatzakis Birkbeck Business School
Michael Pahle Potsdam institute for climate impact research
Anastasia Petraki Blackrock
Tarik Roukny KU Leuven
Francesco Saita Bocconi University
George S. Skiadopoulos Queen Mary University London and University of Piraeus
James Thewissen UCLouvain
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Senior Supervisors Forum - SSF

The Senior Supervisors Forum (SSF) includes, through its alternating three sectoral configurations (Markets, Investment Firms, Investment Funds), the Heads of Supervision from the relevant areas. The SSF provides expertise on common supervisory issues within each sector and ensures consistency in addressing horizontal convergence issues (such as the heatmap and Union Strategic Supervisory Priorities (USSPs)). The SSF also includes a new separate enforcement configuration with the participation of the Heads of Enforcement.  Furthermore, the SSF also continues to deal with horizontal issues on a project /task force basis. The main tasks of the SSF include:

  • Providing input, direction and advice on key risks and problems, among others, those of cross-cutting and cross-border nature;
  • identifying the USSPs that NCAs shall take into account when drawing up their work programmes, and provide input, direction and advice on possible follow-up;
  • promoting continuous discussions and the development of an effective EU common supervisory culture, including innovative supervisory and investigative tools and methods, as part of a risk-based and outcome focused approach to supervision; and

Providing strategic direction for the Enforcement Working Group by identifying priority topics and areas as well as providing a critical review of its output, promoting the sharing of good enforcement practices in order to foster a common enforcement culture and contributing to the facilitation of joint enforcement action with the overriding aim of ensuring consistency of outcomes for similar infringements wherever they arise in the Union.

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Chair: Jos Heuvelman, Member of the Executive Board, Autoriteit Financiële Markten (AFM), The Netherlands

▸ Terms of Reference

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Supervision Policy Committee - ESPC

ESMA Supervision Policy Committee (ESPC) covers policymaking and supervisory convergence activities related to ESMA’s direct supervisory mandates (Securitisation, TR/STFR, Data reporting service providers, Benchmarks and Credit Rating Agencies), with the exception of CCPs.

ESPC functions in a horizontal configuration and dedicated sectoral configurations when specific sectoral issues are being discussed, initially on benchmark administrators and CRAs. The ESPC also covers convergence work related to supervisory mandates which are shared between ESMA and NCAs (e.g., benchmark administrators).

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Investor Protection Standing Committee - IPSC

The Investor Protection Standing Committee (IPSC) has been established in order to drive ESMA’s new strategic objective on retail investors and further build on the work of the Investor Protection and Intermediaries Standing Committee (IPISC).

The IPSC supports horizontal investor protection coordination across all ESMA activities, such as the work related to the costs charged to investors. The IPSC also fulfils the role of the “Consumer Protection and Financial Innovation Committee” referred to in the ESMA Regulation. Its remit includes:

  • Matters of retail investor protection within ESMA’s remit and all relevant aspects of distribution of financial products by intermediaries to retail investors; alongside the coordination of financial education activities; and
  • Policy and convergence aspects of financial innovation in the retail space (such as dealing with innovative products and distribution channels) and sustainability that have a direct impact on retail investors.

The IPSC also continues to focus on regulatory issues related to the provision of investment services and activities by investment firms and credit institutions, notably with regards to conduct of business rules, distribution of investment products, investment advice and suitability.

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Chair: Marie-Anne Barbat-Layani, Chair, Autorité des Marchés Financiers (AMF), France

▸ Terms of Reference

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Consultative Working Group
Member Organisation
Catherine Balençon  Compliance Director, AMAFI (French Association of Financial Markets)
Florian Beckermann  Chairman of IVA – Austrian Shareholder Association
Jana Brodani   Executive Director, Czech Capital Market Association
Claudio Cacciamani  Professor of Banking, Finance and Insurance at University of Parma
Monica Calu  President, Association Consumers United/Asociația Consumatorii Uniți
Jean-Philippe Cavrois  President of the French AFPDB (French Association of Structured Product Manufacturers)
Roberta D'Apice  Head of Legal Affairs, Assogestioni
Natalia de Santiago  Financial literacy expert, financial influencer & fintech entrepreneur
Anna Maria Eskelin  Head of Conduct, Advisory and Product Compliance, Group Compliance, Nordea Bank Abp.
Miguel Garcia de Eulate  Head of Treasury and Capital Markets, Caja Rural de Navarra
Claire Glaser-Berthilliot  Senior compliance officer for Investor Protection Issues, BNP Paribas
Tomas Jägenstedt  Senior Compliance Officer Handelsbanken AB
Pilar Lluesma Rodrigo  Head of Finance Regulatory in Ashurst Spain
Marcus Mecklenburg  Head of Legal, BVI German Investment and Asset Management Association
Martin Molko  Research and Policy Officer, Better Finance (European Federation of Investors and Financial Services Users)
Peter Norwood  Senior Research and Advocacy Officer, Finance Watch 
Aleksandra Palinska  Executive Director, Eurosif (European Sustainable Investment Forum)
Claudia Rausi  Head of Compliance & Compliance Officer, Rizzo Farrugia & Co. (Stockbrokers) Limited
Dr. Franz Rudorfer Managing Director of the Division Bank and Insurance (Austrian Federal Economic Chamber)
David Sabatini  Head of Capital Markets Unit, ABI - Italian Banking Association
Andreas Stepnitzka  Deputy Director, Regulatory Policy, EFAMA (European Fund and Asset Management Association)
Kristjan Verbič  President, VZMD – PanSlovenian Investors' & Stakeholders' Association
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Sustainability Standing Committee - SSC

The Sustainability Standing Committee (SSC) has a dual role as (i) a “consultative” and coordination group providing internal advice and expertise to sectoral SCs on files for which Sustainable Finance (SF) expertise is required and (ii) the primary responsible group on SF files which are transversal by nature (such as taxonomy and greenwashing) as well as new or upcoming topics (e.g. EU Green Bonds Standards Regulation, ESG Ratings). Policy development directly related to ESMA supervisory powers, however, belong to the remit of the ESMA Supervisory Policy Committee (ESPC). The SSC also promotes the coordination of regulatory, supervisory and enforcement initiatives across securities regulators in the EU and across ESMA activities, in the field of sustainable finance.

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Chair: Thorsten Pötzsch, Chief Executive Director, Bundesanstalt für Finanzdienstleistungsaufsicht (BaFin), Germany

▸ Terms of Reference

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Consultative Working Group
Member Organisation
Julie Ansidei  EMEA Head of External Engagement for BlackRock Sustainability and Transition Solutions
Piotr Biernacki Sustainability Committee Chair, Polish Association of Listed Companies and ESG Reporting Partner, MATERIALITY
Sebastian Brinkmann Senior Expert ESG & Sustainable Finance, MEAG
Delphine Dirat Senior Manager, Government Relations and Regulatory Strategy chez LSEG (London Stock Exchange Group)
Mathilde Dufour Head of Sustainability Research at Mirova
Erik Eliasson Head of Responsible Investment at Danske Bank
Sebastien Godinot Senior economist, Head of Sustainable Finance, World Wide Fund for Nature (WWF)
Cécile Goubet Managing Director, Sustainable Finance Institute (Institut de la Finance Durable)
Nadia Humphreys Global Head of Sustainable Finance Data Solutions, Bloomberg
Paul Jaspers Senior Manager and Thought Leader - Sustainable Finance (SF) practice - Forvis Mazars
Nikolaos Kakogiannis Sustainability Consultant, Managing Director ResNovae
Sebastian Leins Senior Manager Sustainability Reporting, Bayer AG
Abulenta Librazhdi Partner, Head of Sustainable Finance, Deloitte Italy
Signe Andreasen Lysgaard Chief Adviser Human Rights and Business, Danish Institute for Human Rights
Martina Macpherson, FICRS, PhD (c) Head of ESG Product Strategy and Management, SIX Group
Aleksandra Maczynska Managing Director, BETTER FINANCE
Brunno Maradei Global Head of Responsible Investment, Aegon Asset Management
Simone Ruiz-Vergote Head of ESG & Climate Regulatory Solutions, MSCI ESG Research
Fabiola Isabel Schneider, PhD University College Dublin
Leonardo Scimmi Compliance Officer, STOXX Ltd.
Jakob Thomä Co-Founder & CEO, Theia Finance Labs
Julian Toth Chief Operating Officer at International Sustainable Finance Centre & Executive Director at Czech Sustainable Investment Forum
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Digital Finance Standing Committee - DFSC

The Digital Finance Standing Committee (DFSC) has been established to support ESMA’s work related to digital innovation across the different subject areas. The DFSC in particular enables the effective undertaking of the relevant policy and convergence work in the area of Digital Finance (legislative proposals such as MiCA, DORA, DLT pilot regime, and areas such as Artificial Intelligence and cybersecurity) and reflect the importance of technological innovation for securities and derivatives markets in line with the new ESMA strategy.

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Chair: Carlo Comporti, Commissioner, Commissione Nazionale per le Società e la Borsa (CONSOB), Italy

▸ Terms of Reference

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IT Standing Committee - ITSC

The IT Standing Committee (ITSC), formerly referred to as the IT Management and Governance Committee (ITMG) remains in place focusing on work on IT governance, exchange of data & information between NCAs and ESMA.

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Data Standing Committee - DSC

The scope of the Data Standing Committee (DSC) has been extended to cover all ESMA mandates related to data reporting, data disclosure (including those which are currently in scope of the sectoral committees and the ESPC) and data quality. Data quality policy work related to ESMA’s direct supervision mandates (such as work on data quality related to trade repositories or data requirements of securitisation repositories) is also covered by the DSC. The focus of DSC is inter alia:

  • to work on topics relating to reporting/record keeping of transactions, trades, positions, orders, instrument reference data and issuers’ disclosures (in cooperation with ISC). The objectives of this group are to enhance the quality, comparability and interoperability of the market data reported to EU National Authorities and the public and to foster supervisory convergence among the national authorities in its area of competence; and
  • to elaborate technical standards, guidelines, Q&As and technical instructions relating to the data reporting and disclosure requirements resulting from all sectoral legislation within ESMA’s remit. The aim is to foster digitalisation, consistency and efficiency of data reporting, information disclosure and their use by, among others, avoiding reporting conflicts or overlaps between different regimes.
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Chair: Armi Taipale, Head of Deparment, Finanssivalvonta (FIN-FSA), Finland

▸ Terms of Reference

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Sectoral Standing Committee

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Issuers Standing Committee - ISC

The Issuers Standing Committee (ISC) works on various regulatory aspects of issuer information and combines the scopes of the previous Corporate Reporting Standing Committee (CRSC) and Corporate Finance Standing Committee (CFSC), with a focus on discussions looking at different regulatory aspects of issuer information, including how to improve issuers information to the market – especially in relation to the development of the sustainability reporting standards.  The scope of the ISC includes contributing to and/or monitoring of regulatory developments as well as ensuring appropriate supervisory convergence on issues such as:

  • Financial and Sustainability Reporting as defined by the Transparency Directive, Accounting Directive, IAS Regulation and Corporate Sustainability Reporting Directive (CSRD);
  • The prospectus regime, as defined by the Prospectus Regulation, as well as specific aspects related to Take-Over bids, and major shareholding reporting; as well as
  • The area of corporate governance, as well as the new Corporate Sustainability Due Diligence Directive.

Finally, the ISC contributes to the development of issuers’ electronic reporting, the storage of regulated information as well as the audit of financial and non-financial regulated information in cooperation with the DSC.

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Chair: Karen Dortea Abelskov, Deputy Director General, Finanstilsynet, Denmark

▸ Terms of Reference

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Consultative Working Groups
CWG for corporate reporting
Member Organisation
Giorgio Alessio Acunzo  EY 
Jens Berger  Deloitte 
Martijn Bos  Eumedion 
Bronagh Ward    Atlas Metrics 
Bartek Czajka  Toppan Merrill 
Stella Grossu  Montold Cap Adviser 
Emmanuelle Guyomard  Sanofi 
Karin Martikainen  UPM-Kymmene Corporation 
Carole Masson  Mazars 
Peggy Mouriot-Barbé  TotalEnergies 
Thaïs Otero López  Iberdrola 
Pasi Päällysaho  Kemira Oyj 
Ezio Santroni  ENI 
Olivier Scherer  PwC 
Stefano Zambon  University of Ferrara 
Thorsten Sellhorn University of Munich 
Jane Thostrup Jagd We mean business coalition
 
CWG for corporate finance
Member Organisation
Stefan Balazs  Baker McKenzie 
Boris Bartel  Association of German Public Banks, VÖB 
Jella Benner-Heinacher  DSW – DeutscheSchutzvereinigung für Wertpapierbesitz 
Francoise Bourzeix Poujetoux  Credit Agricole CIB 
Leticia Comin Fernández-Cuesta  Garrigues 
Jean-Francois Delcaire  HMG Finance 
Jose Francisco Estevez  Cremades & Calvosotelo 
Matteo Gargantini University of Genoa 
Juan Manuel Vazquez Garcia-Reynoso  Spanish Issuers Association 
Katarzyna Grodziewicz  Baker McKenzie 
Torben Hansen  Nordea, Investment Banking & Equities 
Aisling McArdle  Euronext Dublin 
Prof. Dr. Michael Nietsch  EBS Law School, Wiesbaden, Germany 
Magnus Olsson  DNB Markets  
Cyril Rolling  l’Oreal 
Alexander Russ  Eunomia 
Paola Spatola  Assonime (Association of Italian joint stock companies) 
Le Quang Tran Van  Association française des entreprises privées 
Stefano Vincenzi  Mediobanca - Banca di Credito Finanziario S.p.A. 
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Markets Standing Committee - MSC

The Markets Standing Committee (MSC) includes the work previously done in the Secondary Markets Standing Committee (SMSC), the Market Integrity Standing Committee (MISC), the Post Trading Standing Committee (PTSC) and the Commodity Derivatives Task Force (CDTF) with a focus on different regulatory aspects of market and market infrastructure. This includes market monitoring, policy and convergence work in the respective areas (defined i.a. by MiFID, MiFIR, EMIR, CSDR, as well as MAR and SSR). The focus of the MSC includes work on:

  • the structure, transparency and efficiency of secondary markets for financial instruments, including trading platforms and OTC markets (including regulated markets, MTFs, systematic internalisers or other platforms);
  • issues relating to market integrity and surveillance, the enforcement of securities laws, the facilitation of co-operation of national authorities and the exchange of information in market abuse investigations;
  • post-trading market infrastructures or post-trading processes or operations, such as the clearing and settlement of transactions in financial instruments;
  • the monitoring and analysis of regulatory and industry developments in the field of commodity derivative markets; and
  • the managing of the co-operation between financial regulators/ESMA and other regulatory and supervisory authorities such as the Agency for the Cooperation of Energy Regulators (ACER) and national energy regulators within the scope of wholesale energy markets.
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Chair: Rodrigo Buenaventura, Chair, Comisión Nacional del Mercado de Valores (CNMV), Spain

▸ Terms of Reference

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Consultative Working Groups
Secondary Markets Working Group 
Member Organisation
Adam Wood CEO, Turquoise Europe
Alexandre Roubaud Head EMEA Secondary Market & Options, Blackrock
David Furlong CEO, VIRTU EUROPE TRADING LIMITED (VETL)
Dr Severine Vandelanoite Senior Vice President, Market Structure and Regulation Specialist, Cash market, Deutsche Boerse AG 
Geoffroy Vander Linden Country Head and Manager Director, Market Axess
Henrik Husman President, Nasdak Helsinki
Jennifer Keser Managing Director, Head of Regulation & Market Structure, Tradeweb
Kirston Winters Managing Director, Chief Risk Officer, Head of Legal, Risk, Compliance and Government and Regulatory Affairs OSTTRA Group, TriOptima AB - OSTTRA Group
Lotte de Vos Head of European Market Structure, Optiver
Łukasz Mioduszewski Lawyer, Warsaw Stock Exchange
Poul Kjær Associate Professor at the Copenhagen University
Marta Dunat Head of stock exchange operations team, Bank Pekao S.A
Martin Wagener Head of Group Regulatory and Governmental Affairs, Group Sustainability Officer, Outsourcing Officer, Boerse Stuttgart Group
Matthew Skidmore Corporate Development Manager, IMC London Limited
Nick Dutton Chief Regulatory Officer, CBOE
Nicola (Niki) Beattie CEO (Market Structure Partners) and Non-Executive Chair and Director (FMSB, Iress and ClearToken), Market Structure Partners 
Patricia Moreno Repiso Head of Equities Product & Quant Research at BME Exchange, BME
Quentin van Lidth Director, Regulatory and Public Affairs, Global Markets, BNP Paribas;
Vice President, Association Française des Produits d'investissement de Détail et de Bourse (AFPDB), French Structured Investment Products Association
Rebecca Healey Managing partner, Redlap Consulting Ltd
Stephane Malrait Global Head of Market Structure & Innovation Financial Markets, ING Bank

 

Post-Trading Working Group
Member Organisation
Alberto Orce Manchon Product Owner Securities Financing Projects & Head of Cash breaks management, Santander
Alexander Westphal Senior Director, Market Practice and Regulatory Policy, International Capital Market Association (ICMA)
Anna Kulik Secretary-General, Certified Board Director, European Central Securities Depositories Association (ECSDA)
Francisco Béjar Núñez  Head CSD Services SIX BME group; Managing Director of IBERCLEAR
Haroun Boucheta Head of Public Affairs & Chief of Staff, Securities Services, BNP Paribas
Ilse Peeters Head of Government Relations, Euroclear S.A. 
James Cunningham Senior Director, Public Policy and Government Affairs, BNY
Jamie Ross Clayton Head of Operations EMEA, UK and APAC, Citadel
Jeffrey Bandman Industry Fellow and Instructor (Institute for the Future); Founder and Principal (Bandman); Board Director (Global Blockchain)
Kristi Sisa Member of the management boards, Nasdaq CSD SE; Pensionikeskus AS
Loredana Sinko Advisor at the Group Regulatory Affairs, SEB
Marcello Topa Global Market Advocacy, Policy and Strategy Director, Citi Securities Services Custody
María Elena Mesonero Managing Director – Regional Head of Coverage Spain & LatAm
Mauro Lorenzo Dognini Independent Consultant Custody and Post Trading Services (Senior Advisor PWC Italy - Post Trading Expert), PWC
Nafisa Yusuf Director, Market Structure, Blackrock Investment Management 
Niels Hjort Rotendahl Chief Executive Officer (CEO); Head of core products Euronext Securities Group, Euronext Securities Copenhagen (VP Securities A/S)
Olivier Nin Head of RepoClear & CaLM First line Risk; Interim Head of RepoClear and CaLM, LSEG, LCH SA
Paola Maria Deantoni Public Affairs Officer, Societe Generale Securities Services
Petra Zettel Teamlead Governance, Risk, Compliance (GRC), OeKB CSD GmbH
Anne-Pascale Malréchauffé Head of Regulatory Strategy & Compliance, Clearstream Banking S.A.

 

Commodity Derivatives Working Group
Member Organisation
Alexandre Boutant Director, Risk management, CBOE Clear Europe
Alexis Poullain Economist/Commodity market analyst, Food and Agriculture Organization (FAO)
Anje Stiers Head of EU Representation Office, European Energy Exchange AG
Bogdan Piotrowski Head of Legal, Polish Power Exchange
Cemil Altin Head of Regulatory and Political Affairs, EDF Trading Limited
Daniela Nigro Head of Financial and Market Integrity Compliance, Enel Global Trading SpA
Karl-Peter Horstmann Head of Markets Regulation, RWE Supply & Trading GmbH
Gerfried Krömer Head Compliance, Alpiq AG
Jethro van Hardeveld Director Regulatory Policy, ICE Endex
Joerg Sperling Head of Banking and Regulation, EON SE
Laëtitia Benzacar Legal Counsel Market Regulation, ENGIE Global Markets
Marc Cornelius Global Head of Compliance, Amius
Maria Dolores Garcia Head of International Regulation, Endesa
Myriam Vander Stichele Senior Researcher, SOMO
Nikos Triantafyllidis Senior Advisor Commodities Compliance, OMV
Robin Maisonneuve Head of Agricultural Commodities, Euronext
Silvi Tahiri  Director Derivatives & Commodities Compliance, Cargill
Simone Böckle Senior Manager Risk Management, BASF SE
Timothy Jarvis Corporate Strategy, Optiver
Vincenzo Anghelone Manager Regulation Compliance, Shell Trading and Supply
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Investment Management Standing Committee - IMSC

The Investment Management Standing Committee (IMSC) continues to deal with matters relating to the UCITS, AIFMD and MMF legislations which relate to investment management and investment funds. Its focus continues to include work on issues relating to collective investment management, covering both harmonised and non-harmonised investment funds.

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Chair: Derville Rowland, Deputy Governor, Central Bank of Ireland, Ireland

▸ Terms of Reference

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Consultative Working Group
Name Organisation
Philip Hanssens Global Head of Compliance, Apex Group
Jérôme Wigny Partner, Elvinger Hoss Prussen
Martin Molko Research and Policy Officer, BETTER FINANCE
Louise Campbell Managing Legal Counsel, Legislative & Regulatory Affairs EMEA, T. Rowe Price Associates, Inc
Pia Eske Bruun Legal Advisor, Director, Plesner Advokatpartnerselskab
Jarkko Syyrilä Head of Public Affairs, Nordea Asset and Wealth Management
Olivier Fines Head of Advocacy and Policy Research, EMEA, CFA Institute
Louis Launoy Global Head of Market, Credit & Liquidity Risk Expertise, AMUNDI
Caroline Franconin Public Affairs - Strategic Analyst, BNP PARIBAS
Dirk Zetzsche Professor in Financial Law, ADA Chair in Financial Law (inclusive finance), University of Luxembourg
Sabine Dittrich Head EU Financial Regulation, Slaughter and May
Antonio Blandini Full Professor of Business Law, Università degli Studi di Napoli Federico II
Federico Cupelli Deputy Director for Regulatory Policy, EFAMA
Valerio Lemma Full professor - Lawyer, Dentons - University G. Marconi of Rome
Paola Musile Tanzi Full Professor of Financial Markets and institutions, University of Perugia
Jean Medernach Chairman Investas, Partner at PKF Audit & Conseil, Investas and BETTER FINANCE
Rafał Syska Head of Legal, Investors TFI S.A.
Jana Brodani Executive Director, Czech Capital Market Association
Laura Palomo Deputy Director of Regulation and Public Policy, INVERCO
Helene Wall General Counsel, Fondbolagens förening
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CCP Standing Committees

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CCP Policy Committee - CCP PC

The scope and tasks of the CCP Policy Committee (CCP PC), which contributes to ESMA’s mission by addressing issues related to the assessment of risks to investors, markets and financial stability, including, the promotion of supervisory convergence and the development of technical advice related to CCP matters are also not subject to change. These include:

  • Developing/updating technical/implementing standards, preparing advice to the EC or developing Q&As, Guidelines, Opinions and Recommendations on CCP related matters under EMIR or under any other EU legislation related to CCPs; and
  • Developing reports assessing the implementation, the revision or potential extensions of EMIR or similar reports related to other EU legislation for matters affecting CCPs.
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Consultative Working Group
Member Organisation
Jan Axelsson Chief Compliance Officer, NASDAQ Clearing AB
Sylvie Bonduelle Senior Advisor, Société Générale Securities Services
Niels Brab Chief Regulatory Officer, Head of Group Regulatory Strategy, Government Relations and Political Affairs, Deutsche Börse Group
Fernando Cerezetti Risk Director, ICE Clear Europe
Dirk Daveluy Brokers & Exchanges Relationship Manager - Trading Operations & Affairs, RWE Supply & Trading GmbH
Jan Bart de Boer Board member, ABN AMRO clearing Bank NV
Vittorio D’Ecclesiis Chairman WG EMIR and Supervisory Reporting, EuropeanIssuers
Isabelle Drinkuth Head of Capital Markets Legal Department, Amundi Asset Management
Esther Durango Archilla Head of Governance & Regulation, BME CLEARING - SIX GROUP
Teo Floor Chief Executive Officer, CCP Global
Finbarr Hutcheson Chief Executive Officer, Leargas International
Pablo Iglesias-Rodríguez Associate Professor / Senior Lecturer, University of Sussex
Julien Jardelot Head of Government Relations & Regulatory Strategy Europe, London Stock Exchange Group
Ulrich Karl Head of Clearing Services, International Swaps and Derivatives Association (ISDA)
Doanh Le Ngoc Senior Director, CCP Risk and Banking Capital, Futures Industry Association (FIA)
Richard Metcalfe Head of Regulatory Affairs, World Federation of Exchanges
Fabrice Novel France Custody and Clearing Senior product manager – Director, Citibank
Rafael Plata Secretary General, European Association of CCP Clearing Houses (EACH)
Paolo Saguato Professor of Law, George Mason University Antonin Scalia Law School
Loubna Serrar GM CCR – Clearing & Financial Institutions, BNP Paribas
Arnoud Siegmann COO, CBOE Clear Europe NV
Pietro Stecconi Consultant - Former CCP Competent Authority's Director
Isabella Tirri Manager, Capital Markets & Post-trading regulatory affairs, Borsa Italiana S.p.A. (Euronext Group)
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Proportionality and Coordination Committee

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Proportionality and Coordination Committee - PCC

The Proportionality and Coordination Committee (PCC) works on certain transversal “institutional” tasks previously handled by the Supervisory Convergence Standing Committee (SCSC), such as supervisory independence of NCAs as well as the development of a system to support information exchange on fitness and propriety, as well as the tasks previously attributed to the International Relations Network (IRN), i.a., equivalence monitoring and international cooperation. The PCC also meets the obligations of the Advisory Committee on Proportionality (ACP) which was established following the 2019 review of the ESMA Regulation, with the task of advising ESMA on how to take into account differences in the sector with regard to nature, scale and complexity of risks, of business models and practices. The PCC thus has a role in providing recommendations on ESMA’s future work programme (which includes new regulatory products as well as the assessment of existing ESMA regulatory products that are subject to review).

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Chair: Christopher Buttigieg, Chief Officer, Malta Financial Services Authority (MFSA), Malta

▸ Terms of Reference

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