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Forthcoming Content

A selection of papers scheduled for Volume 3 and Volume 4:
 
Legal and regulatory update: Corporate real estate finance – structuring security and enforcement
Lesley Wan, Corporate Real Estate Legal Counsel, Lloyds Banking Group, Simon Johnston, Head of Real Estate Finance and Marianne Mudd, Solicitor, Real Estate Finance, CMS Cameron McKenna 
 
Treasury services manufacturers and distributors – a future banking model
Dominic Broom, Managing Director and Head of Market Development EMEA, BNY Mellon
 
A crossroads of technology and liquidity: Treasury’s time is now
Scott Montigelli, VP, Kyriba Corporation

Essentials of treasury technology: Understanding opportunities, trends, and pitfalls
Craig A. Jeffery, Managing Partner, Strategic Treasurer
 
Global trade disputes: A closer look at the US/China trade tensions
Trevor Williams, Chief Economist, Lloyds TSB Group; Member of the Institute of Economic Affair’s Shadow Monetary Policy Committee
 
Treasury qualifications and education
Will Spinney, Education Development Consultant, Association of Corporate Treasurers
 
Corporate treasury risk management: Are new approaches now essential?
Paul Higdon, Chief Technology Officer and Nico Busch, Senior Risk Management Domain Specialist, IT2 Treasury Solutions
 
Group potential impacts of the new money fund rules
Lance Pan, CFA, Director, Investment Research and Strategy, Capital Advisors
 
Best practice in corporate commodity hedging
Peter Moore, Kidex Product Specialist EMEA, SunGard
 
Overcoming difficulties of doing business globally
Fiona DeRoo, SVP, Bank of America Merrill Lynch 
 
Interest rate risk management framework
David Klug, Capital Markets, Morgan Stanley
 
The crises: How we got into it and how we should get out …
Gianfranco Tabasso, Chairman, EACT

Examining the need for corporates to create a comprehensive investment policy
Ananya Mukherjee, Asst Treasurer, Granite Construction

Financial strategies for recovery
Dan Pakenham, Financial Strategy, Citigroup Global Markets

The costs of equity capital
Harold Bierman, Jr., The Nicholas H. Noyes Professor of Business Administration, Johnson Graduate School of Management, Cornell University
 
A guide to (treasury) security and control
Pat Leavy, Executive Director, Consulting Services, FTI
 
State-of-the-art in FX management in a multinational corporation
Alfred Buder, European Treasurer and Erich Stark, FX Manager, Flextronics International
 
Optimising cash and effective liquidity
Leslie L. Regino, VP, Marketing and Client Services, Kyriba Corporation
 
Efficient and effective cash-management
Lukas Bosina, European Cash Management, Flextronics
 
A holistic view of corporate foreign exchange exposure management
Corey Edens, CFO, FiREapps 
 
Will regulatory reform impact the secured lending market for the corporate world?
Godfried De Vidts, Director of European Affairs, ICAP