About this event
In uncertain times, managing foreign exchange risk is more important than ever for corporate treasurers.
In fact, 56% of respondents in a recent survey* said the importance of FX risk management would increase after COVID, as treasurers realise the impact a suboptimal FX policy may have on the overall results of the company.
Fortunately, help is at hand.
This Treasury Dragons online session looks under the hood of the best-of-breed FX Risk Management solutions in a live Q&A with real corporate treasurers.
Featured Solution providers
This is the eighth in a series of online debates in which treasury technology firms present their solutions to our ‘Dragons’ – and to you.
In short, sharp presentations you will see the highlights of each treasury-enhancing system on offer – and then the solution providers will face some challenging questioning from our panel of treasury tough nuts.
It's the fastest way to get up to speed on what's really on offer.
*TMI & Kantox FX Risk Management Survey, 2020
How do you decide what’s the best treasury technology solution for you? To answer that question, we’ve assembled a panel of experienced corporate treasurers and technology experts – the Treasury Dragons – to ask the right questions on your behalf.
Nathan is Head of Commercial (EMEA) for Hedgebook and has nearly 20 years' experience leading international business development and expansion projects. For the last seven years he has specialised in helping businesses manage FX risk more effectively.
Royston Da Costa is Assistant Group Treasurer at Ferguson PLC, with over 28 years experience working in treasury. He joined Wolseley, now Ferguson Group, in April 2002, and is responsible for managing the large, international group’s daily debt and cash requirements.
David runs DNA Treasury, with over 35 years of experience in treasury. He specialises in providing advice to corporates and banks on both cash and treasury management.
Hamish has been with GTreasury since 2016. In his current position, he works with customers to help them understand how the GTreasury and Coprocess solutions can help streamline their treasury operations.
Andy runs Falcor Business Consulting working in the SME sector, assisting start-ups & providing management advice. Previously, he was Vice President at Level 3, having treasury operations as his primary mandate, with additional responsibility for special projects, including procurement, shared services & real estate.
Keara is currently treasurer at Workrise. She has over 10 years of experience managing complex risk structures for financial institutions and corporates.
As vice president of strategic markets, Andy advises corporate clients, consulting firms and business partners on a wide range of foreign exchange risk management-related topics, FX management best practices and FX hedging.
Alex is responsible for TIPCO’s international sales activities. Alex previously worked as a treasury consultant for 8 years, helping numerous multinational corporations improve cash & liquidity management as well as risk management processes and streamline their treasury system landscapes.
We’ve assembled a panel of experienced corporate treasurers and technology experts – the Treasury Dragons – to ask technology vendors the right questions on your behalf.
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