Managing corporate treasury in the time of Covid-19
Questions are being raised on whether there is a need to introduce measures on how companies manage their liquidity
3 Jul 2020 | The Asset

 OPTIMIZING liquidity through centralization has always been one of the key pillars of corporate treasury centres across the globe. With Covid-19, however, that long-held premise is being put to the test as global treasurers respond to a sudden surge in demand for cash to support core business activity.

 

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