MEET MICHAEL
Michael is an experienced treasurer with a unique combination of corporate treasury, corporate control and banking expertise.
A solid base in finance (Stork, TenneT) and banking (ABN AMRO Bank) contributed to his specialisation in treasury. Being hands on, trustworthy and creative with a can-do mentality, Michael worked as independent interim treasurer in the past nine years for various companies like TNT, Vion, TomTom and Unit4.
Knowing all the ins and outs in the world of treasury, he will hit the ground running and provide efficient and effective solutions on every operational and strategic level.
Michael has a master’s degree in Economics, is Registercontroller (RC / Executive Master of Finance and Control), member of the Dutch Association of Corporate Treasurers (DACT) and member of the Vereniging van Registercontrollers (VRC).
CONNECT
EXPERTISE
- Cross border cross currency cash pooling, efficient banking infrastructure
- Finance agreements
- Intercompany loans, in house bank and intercompany netting
- Interest rate and foreign exchange (FX) risk management and deal execution (hedging)
- Treasury policies
- Cash flow forecasting
- Establish an optimal relationship between organisation and financial institution
Treasury Control
- IFRS, financial instruments and disclosures in the annual report
- Alignment between Treasury and Control.
Top 5 most read articles at treasuryXL.com and LinkedIn of 2020
31-12-2020 | treasuryXL | Kendra Keydeniers The last day of 2020 is here. The whole world experienced a ‘year not to forget’. I can imagine that when you popped the champagne last year you had other thoughts and plans in mind for 2020. To make sure you don’t miss out on the pieces that made […]
Recap of the first ‘Meet the Expert’ interview series and full overview
| 04-08-2020 | by Kendra Keydeniers | A couple of months ago, we started the ‘Meet the Expert’ interview series with experts from the treasuryXL community with different treasury expertise. Treasury needs to deal with an increasing availability of alternative financial products, intensifying risk management requirements, regulatory and compliance constraints. What do our experts think […]
Meet our Experts – Interview Michael Ringeling
16-06-2020 | Michael Ringeling | treasuryXL Meet our Expert Micheal Ringeling, an experienced Treasurer with a unique combination of corporate treasury, corporate control and banking expertise. A solid base in finance (Stork, TenneT) and banking (ABN AMRO Bank) contributed to his specialisation in treasury. Being hands on, trustworthy and creative with a can-do mentality, Michael worked […]
Top 5 most common pain points in Treasury
14-02-2020 | treasuryXL | Michael Ringeling The purpose of Treasury is to manage a company’s funding, liquidity and to mitigate its financial and other risk. Made up of three sub-disciplines, Treasury’s overall objective is to safeguard the company’s holdings and to follow the long-term strategy set forth by Corporate Finance (and strategy). Cash Management, on […]