Corporate cash has been at record levels for several quarters. Meanwhile, currencies fluctuate, global supply chains are disrupted and regulatory uncertainty continues. There is a growing demand for insight into what corporate treasurers are doing with their cash and why.
This 30-minute webinar covers the results of Treasury Strategies’ ongoing research into corporate cash and the latest government statistics for total corporate cash holdings in the US, UK & Eurozone. Insights from this webinar will help participants understand the implications for our industry.
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Click here to access the recording.