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Financial Intelligence
Future Banking Infrastructure
Settlement, collateral and compliance architecture through 2030, with institution-level exposure analysis and a treasury negotiation playbook.
Preview — Table of Contents
- Section 1 — What actually changes at the settlement layer
- Section 2 — Where float income disappears
- Section 3 — Collateral mobility and balance-sheet efficiency
- Section 4 — Corporate treasury actions
Remaining 130 pages locked
What You Get
- Settlement migration timeline by jurisdiction
- Float income exposure model for mid-tier institutions
- Tokenized collateral adoption scenarios
- Treasury renegotiation playbook
Industry Impact
Deposit franchise re-rating across mid-tier banks
Consolidation of correspondent relationships
Compliance automation as a primary cost lever
