We were delighted to partner with Treasury Management International (TMI) to host the money markets/cash session - Risk, Data & Cash Management - Re-tooling for a Resilient Future – at our recent annual Connect Forum.
During this session, our panel experts discussed how treasurers are strategically advancing their role and their team’s capabilities by managing their organisation’s cash and liquidity requirements in smarter, digital ways.
• Data-driven treasury – How has the turmoil of 2020 impacted the need for real-time useable data to help treasury better manage cash and liquidity requirements?
• Automated and integrated solutions – How important is it for treasury to have automated data- and investment solutions? Are these readily available?
• Making change happen – How else can treasurers prepare for 2021 – and make the most of their data, while controlling risk and investing efficiently?
Eleanor Hill, Editor, Treasury Management International (TMI)
Jonathan Spirgel, Managing Director, Hazeltree
Luc Vlaminck, Group Treasurer, Remy Cointreau
Jim Scurlock, Director, Global Cash Management, Microsoft
Ed Lopez, Chief Revenue Officer, Calastone
To access the session recording please fill out the short form displayed.