The final instillation in a three-part series for the Corporates Community.
Corporate treasurers face an increasingly complex challenge: optimizing working capital management while preserving cash flow in an environment where liquidity truly is king. With foreign exchange rates experiencing significant swings, declining interest rates putting pressure on investment yields, and commodity markets displaying extreme volatility, the imperative for sophisticated treasury solutions has never been more critical for maintaining corporate resilience and creditworthiness.
Event info
Date recorded: Thursday 20 November, 2025
Duration: 60 minutes
Topic: Corporate Strategy and Resilience
Previously in the series...
Topic: Fraud Prevention Through Treasury Automation
Date recorded: June 18, 2025
Topic: Volatility, News & Strategy - Aligning Corporate Response in a Shifting World
Date: September 24, 2025