Treasury Management

Expert insights on corporate treasury, FX hedging, and cash management strategies.

Corporate Treasury Management: A Comprehensive Guide

An in-depth guide to corporate treasury functions, including liquidity management, working capital optimization, and treasury best practices.

FX Hedging Strategies: Managing Currency Risk

Learn about FX hedging strategies for corporations, including forwards, options, and natural hedging approaches to manage currency exposure.

Cash Management: Optimizing Corporate Liquidity

Explore cash management techniques including cash pooling, netting, payment factories, and cash forecasting for optimal liquidity.