Q & A with Martin Schlageter, Head of Treasury Operations, F.Hoffmann-La Roche Ltd

Martin Schlageter talks to the Group Treasurers’ Exchange about designing and implementing a cash flow forecasting process for your business, how to rationalise the number of banking partners to streamline cash management activities and how he structured cash management to improve multinational currency pooling for Roche. He also discusses his predictions for the future of the role of the Group Treasurer.

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