TMI 170

Inside Issue 170

Special Feature

  • Rowing from the Rocks
    by Helen Sanders, Editor

Best Practice Articles

  • Security and Straight Through Processing
    by Geoff Brett, Cash Manager and William Ward-Brew, Treasury Operations, Anglo American Plc
  • SWIFT Connectivity at ABB Treasury
    by Thomas Martin, Head of Operations & IT, ABB Group Treasury
  • Managing Settlement Risk at National Express
    by Mike Dixon, Assistant Group Treasurer, National Express plc
  • Centralising regional liquidity management
    by Ken Osuga, General Manager, Konica Minolta Business Solutions Europe

Thought Leadership

  • Capitalising on Market Uncertainties
    by Lawrence Webb, Global Head of Trade and Supply Chain, HSBC
  • ING Guide to Financial Supply Chain Optimisation (Part I)
    by Gregory Cronie, Head Sales, Payments and Cash Management, ING


  • Contents
  • Letter from the Editor
    by Helen Sanders, Editor
  • News & International People
    by Caroline Karwowska, Commissioning Editor
  • A SWIFT Approach to Cash & Trade
    An Interview with Angela Potter, Head of International Cash and Trade, Commercial Banking, Barclays by Helen Sanders, Editor
  • EACT News
    by François Masquelier, Head of Corporate Finance and Treasury, RTL Group and Honorary Chairman, EACT
  • Executive Briefing
    by Caroline Karwowska, Commissioning Editor