Cash & Liquidity Management

Implementing FX Prime Brokerage at Panalpina

Treasury at Panalpina is responsible for providing cash management, corporate finance and risk management services to the company in line with both a long term strategy and annual targets. Achieving this requires a dedicated and professional team, and sophisticated, automated systems with a high degree of straight-through-processing (STP). One of treasuryís major activities is FX trading, for which treasury acts as a service provider to the company, as opposed to taking positions as a profit centre. We aim to manage our risks in line with corporate policy and we have a stringent approach to counterparty, settlement and operational risk.

 Download this article for free

Save PDFs of your favorite articles, authors and companies. Bookmark this article, or add to a list of your favorites within mytmi.

Discover the benefits of myTMI

 Download this article for free