Join treasuryXL & Aviva Investors to hear from peers and industry experts on how to integrate market factors into your cash planning and management.
Our speakers will explain which market factors matter most and what’s driving the current interest-rate outlook. We will cover practical strategies to manage cash as market conditions change.
The session will also explore how to prepare for market shocks.
Designed for corporate treasurers, cash managers and finance leaders responsible for short-term liquidity.