Corporate Treasury Management
Expertise for establishing and managing your treasury center
Managing a corporate treasury can become increasingly time consuming and complex, especially when it spans multiple global jurisdictions. For many organizations, the in-house management of a treasury system, or cash management, can be cost and time intensive. CSC has the expertise to help your organization develop and maintain a sound corporate treasury framework and mitigate risk.
Services for corporates
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Setting up a treasury function
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Design and implementation of a treasury management system
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Payments and foreign exchange services
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Foreign exchange risk management
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Liquidity management
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Working capital management
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Receivables management
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Digital treasury services
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Treasury talent management
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Treasury management services to businesses being restructured
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Treasury optimization, helping identify where you fall on the treasury maturity curve, and defining and planning how to achieve the target state
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Post-acquisition, either to establish or improve treasury operations and working capital, or to integrate existing treasury teams