4 Ways To Battle Selective Hedging For Strong Corporate Governance
This article is written by Kantox Are narcissistic managers steering your company’s financial ship into treacherous waters? In this article, we delve into the nuanced relationship between corporate governance, narcissistic managers, and the perilous practice of selective hedging. You will learn four key strategies that will help you improve your corporate governance and avoid engaging…
Treasury Contrarian View: Do We Really Need Treasury Centers in Every Region?
For decades, multinational corporations have established regional treasury centers to manage cash, liquidity, and risk closer to their operations. But with advances in automation, AI, and real-time banking connectivity, is the traditional regional treasury center model still necessary, or is it time for companies to rethink their treasury structures? The Case for Regional Treasury Centers…
Trade Digitalization: How to Start?
This article is a contribution from our content partner, PrimeTrade There’s a growing and visible push to get trade digitalized – and trade documents digitized. See more here. Read this short post to understand the “what” and the “who” of trade digitalization – and then crucially, “how” you might start the journey yourself. Below the body…
Understanding Bank Treasury: Managing Liquidity, Risk, and Regulatory Compliance
Written by Renea Mahadeo Introduction Bank treasury is fundamentally different from corporate treasury in its objectives and operational complexities. While corporate treasury focuses on ensuring liquidity for business operations, bank treasury is responsible for managing the financial institution’s balance sheet, optimizing liquidity, and ensuring regulatory compliance. Banks operate within a highly regulated environment where capital…
What is Currency Risk?
This article is a contribution from one of our content partners, Bound Currency risk, or exchange rate risk, refers to the exposure faced by investors or companies that operate across different countries, in regard to unpredictable gains or losses due to changes in the value of one currency in relation to another currency ~CFI definition….
Transform Your Treasury Operations with Seamless Bank Connectivity
This article is written by Palm Introduction Treasurers face the constant challenge of managing cash flow, liquidity, and risk. The need for real-time visibility into cash balances and transactions has never been more business-critical. This blog post explores the benefits of bank connectivity, why it’s essential for treasurers, and how leveraging technology can transform your…