EuroFinance International Cash, Treasury & Risk Management Conference

EuroFinance International Cash, Treasury & Risk Management Conference

May 15 - 16, 2012
Sydney, Australia

Achieve international best practice in treasury

In this volatile and uncertain world, as companies expand their global footprint often into new or emerging markets, treasurers are discovering the need for strategies and procedures to protect their business.

How do you do business in many markets around the world while maintaining central visibility? How do you mitigate the increasing risks in FX, commodities, funding, cash, liquidity and operations?

This event will show you the way.

Hear best practice case studies from local and overseas com­panies that are improving efficiency and becoming even more international in their approach to risk, cash management, working capital, funding and investment.

Whether you are cash rich or cash poor; a large multinational or domestic company with plans to become more international; this conference will give you ideas and practices that will support your company’s growth.

Programme highlights

  • A closer look at what’s really happening with the global economy
  • Global trends shaping finance and treasury
  • How to be global, not just international
  • Treasury models to support growth
  • Liquidity practices to fund your business
  • Internationalisation of the RMB – are you ready?
  • Where treasury technology is going 
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