Cash and Liquidity Management
Streamlining International Cash Management: Cash Liquidity in Emerging Markets
Hear from Odd-Geir Lyngstad, Vice President Finance & Treasury at Elkem AS who led a case study at the September 2014 Group Treasurers’ Exchange. Odd-Geir shares his experiences on multinational strategies for cash management, management of risk and many more challenging topics with a focus on the emerging markets.
Best Practices in International Cash Management
As globalization increases, treasury has become an increasingly international operation. However, the practices and regulation of treasury are not uniform across the globe. What may be viewed as best practice in one country may not be appropriate in other markets.
This has implications both for North American companies looking to expand globally, and also for foreign companies planning to establish or acquire North American business. Treasury teams need to ensure that their cash management processes are optimized for all markets, to both ensure the smooth running of their treasury operations, as well as complying with local regulations.
This comprehensive guide provides essential information for any treasury team that is looking to enter new territories, or already has an international presence, but wants to ensure that it’s adhering to best practices worldwide.