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Treasury Strategies’ Quarterly Corporate Cash Briefing™ – January 2016

Click here to download the presentation.
Click here to access the recording.

How will current market events impact your treasury decisions?

Please join the largest and longest-running conversation on corporate cash decisions in the financial industry. Our upcoming Quarterly Corporate Cash Briefing™ will include an expert panel discussing the factors that are influencing your corporate cash investment and borrowing decisions, including:

• Diverging central bank interest rate policies
• Regulatory landscape affecting corporate treasury
• Widening credit spreads
• FX volatility

Our panel, including the Association of Corporate Treasurers, Federated Investors, and Fitch Ratings, will discuss critical issues to your treasury function and business.

Panel Participants & Institutional Partners
• Peter Matza, Engagement Director – Association of Corporate Treasurers (ACT)
• Deborah A. Cunningham, CFA, Chief Investment Officer – Federated Investors
• Roger Merritt, Managing Director – Fitch Ratings

Treasury Strategies’ Speakers & Panel Moderators
• Anthony Carfang, Partner
• Kevin Ruiz, Principal

For more information

+1-312-628-6923