SEB Guide to Financial Supply Chain Optimisation |
Opportunities in Cash & Liquidity Management
by Niclas Osmund, Head of Large Corporates, Sweden, Cash Management, SEB
Categories: Cash Management, Liquidity Management, Payments, Strategic Treasury, Trade Finance, Working Capital Management, Country Focus, Supply Chain Finance
Liquidity management - ensuring the right amount of cash is available, at the right time and in the right place, is firmly positioned as a pivotal task for every treasurer. Over the past few years, many treasurers have made substantial progress towards increasing the visibility of their cash flow and centralising cash within countries or regions. However, industry surveys indicate year on year that liquidity management and particularly cashflow forecasting remain the greatest challenges facing trea- surers, so why have so few managed to address these areas successfully? With credit more expensive and elusive for many companies, it is now imperative to tackle these challenges head on.
Thought Leadership Articles
Leveraging an ERP System in a Shared Sevices Centre Environment
Fiona Deroo, Executive, International Business Development Office, Global Corporate Treasury, Bank of America Merrill Lynch
Executive Interview: Revolutionising Relationship Banking
Tarek Anwar, Managing Director & Global Head of Sales, Transaction Banking, Standard Chartered Bank
A Brew with All the Right Ingredients
Guy Ingram, Treasury Manager, SABMiller
Capitalising on Market Uncertainties
by Lawrence Webb, Global Head of Trade and Supply Chain, HSBC









