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)
Hear Lise Gjerten discuss the benefits of SWIFT and how SunGard’s AvantGard plays a pivotal role in helping corporates to integrate their back office applications and generate message flows for end to end automation.