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Treasury Risk and Management
May 23, 2016 - May 24, 2016
The recent Basel 3 liquidity requirements, Fed rate hike and Renminbi expectations could potentially change the game in the treasury landscape. Corporates are finding their business decision making more complex. In such difficult time, there is a need of a holistic treasury risk management flexible enough to manage volatile economic circumstances. Corporate treasurers have cited liquidity and cash management and the ability to forecast accurately among their topmost concerns, with interest rate risk and FX risk not far behind. Failure to hedge or mitigate these risks can have disastrous consequences leading to potential bankruptcy and loss of shareholders confidence.
marcus evan’s Treasury Risk and Management will feature case studies by expert practitioners on sessions such as liquidity and funding, innovation in treasury and building resilience to treasury risk. There will also be one day advanced workshop on cash flow forecasting that will allow corporate treasurers to future-proof their foundation against looming treasury risks.
Some of the speakers include:
Head of Treasury Development and Transformation
National Bank Australia
Head Corporate Treasury and Risk
Australian Broadcasting Corporation
Treasury Risk Manager
Head of Short Term Funding and Interest Rate Risk, Group Treasury
Toyota Financial Services Australia
Australian Rail Track Corporation
Head of Group Treasury
Contact: Estee Ang
Link to website: