Issue 165 - May 2008

Inside Issue Issue 165 - May 2008

Special Feature

  • Rapid Returns in Receivables
    by Helen Sanders, Editor, Treasury Management International (TMI)
  • Bush Banking
    by Bill McLellan, Managing Director, Poseidon Geophysics

Best Practice Articles

  • Implementing a Best Practice Treasury at Richemont
    by Vassilina Lapteva Walford, Group Treasury Projects Manager, Richemont
  • E-invoicing 2008 - Highlights of the European market description and analysis
    by Innopay and Euro Banking Association
  • GasTerra and Deutsche Bank: Finding New Cash Management Efficiencies
    by Jan Bruintjes, Manager Treasury, Tax & Insurance, GasTerra B.V.
  • Treasury & Systems Centralization at USG
    by Elizabeth Fruin, Treasury Manager, USG

Thought Leadership

  • Outlook Cloudy but Improving - Managing Weather Risks
    by Jean-Louis Bertrand, Chair, Banking and Finance Department, ESSCA
  • SEB Introduction
    by Erik Zingmark, Global Head of Cash Management, SEB
  • Opportunities in Cash & Liquidity Management
    by Niclas Osmund, Head of Large Corporates, Sweden, Cash Management, SEB
  • Extending Best Practices into Trade Finance
    by Lars Millberg, Global Head of Trade Finance, SEB
  • Leveraging Opportunities in the Financial Supply Chain
    by Alexander Braun, Global Head of Solution Management, Global Transaction Services, SEB
  • Financial Supply Initiatives at Scania
    by Jan Bergman, Group Treasurer, Scania AB
  • Centralisation to Collaboration - the changing role of treasury
    by Erik Seifert, Head of Cash Management, Sweden, SEB


  • Contents
  • Letter from the Editor
    by Helen Sanders, Editor, Treasury Management International (TMI)
  • A Note from the EACT Chairman
    by Olivier Brissaud, Chairman, EACT