MEET Alastair Sewell
Alastair is responsible for developing and executing the firm’s liquidity solutions business strategy, covering money market funds through to ultra-short duration bond funds. In this newly created role, he leads the strategy’s external relationships, drives new product launches, produces research and content and supports portfolio managers in achieving performance targets.
Alastair joined Aviva Investors from Fitch Ratings, where he was head of fund ratings, responsible for producing ratings and research on money market and short duration bond funds in EMEA and Asia Pacific. Prior to this, he was a CDO rating analyst in Fitch’s structured credit group.
Alastair started his career at a UK local authority in 2003. He holds a BSc in Biology from the University of Bristol, an MBA from the University of Bath and a CFA Institute Certificate in ESG Investing. Alastair is a CFA charterholder.
Recap & Recording: From Outlook to Action: Turning Market Signals into Cash Decisions
16-10-2025 | This session highlighted the critical transition for corporate treasury teams from viewing liquidity solely as a risk control function to embracing it as a strategic asset
EuroFinance 2025: Key Connections to Make
07-10-2025 | We’re excited to provide you with a preview of the treasuryXL partners who will be in attendance at EuroFinance Budapest
Live Session: From Outlook to Action: Turning Market Signals into Cash Decisions
01-10-2025 | Experienced treasurers and market experts come together to show how market signals can shape smarter cash strategies.
How Treasurers Manage Cash When It Matters Most
26-08-2025 | When cash stops coming in but the outflows keep going, treasurers are tested.
Money Market Funds: An overview for corporate treasurers and investors
12-06-2025 | Nana Antwi (Investment Specialist, Aviva Investors) provides an overview of money-market funds (MMFs) and their importance in cash management for corporate treasurers and many other investor types.
Liquidity Management in Treasury: Understanding and Balancing Liquidity with Investment Opportunities
10-03-2025 | Managing liquidity effectively is one of the core responsibilities of corporate treasurers