Seminar - Designing Strategies to Optimize Treasury Operations

April 7th 2011 4:00 - 7:00pm

SWIFT Hong Kong Office
31/F One International Finance Centre
1 Harbour View Street
Central, Hong Kong

Agenda

  • 4:00 Registration
  • 4:30 Optimising treasury operations: how treasurers can improve cash visibility & risk management
    Luc Meurant, Head of Banking, Supply Chain & Corporate Markets
    SWIFT Mike Fullmer, Senior Vice President, SunGard, Asia Pacific
  • 5:15 Payment and Cash management processes – a case study by Swiss Re
    Damien Taets van Amerongen, Vice President, Information Technology, Swiss Re(Swiss Reinsurance Company Ltd)
  • 5:45 Q & A Discussion
  • 6:15 Cocktail Reception 

Please complete the form below to register

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