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Cash, Treasury and Risk Management
in India
11–12 November 2008,
Mumbai, India
Download Programme PDF | Register
Event summary
India has been relatively unscathed by the credit crunch and upheaval in global markets, but wary finance chiefs are not complacent. Risk is top of everyone’s agenda in 2008. How can you find the safest place for your company’s money? What are the new sources of risk that can affect your bottom line? Knowledge is never more key than in uncertain times.
Gain insights from pioneers in cash and working capital management. Meet thought leaders who are implementing innovative treasury tools to safeguard and optimise financial supply chains. Share your concerns and experiences on trade finance obstacles and opportunities.
Whether you work in the treasury of a world famous multinational or are responsible for cash management in an emerging company, you will find fresh perspectives at EuroFinance’s 6th annual conference on Cash, Treasury and Risk Management in India. Hear how you can capitalise best from India’s economic potential and regulatory reforms in today’s risky world.
Who should attend?
The conference is tailored to finance professionals working within, or responsible for, corporations in India. It is also open to bankers, professional advisers and other service providers operating in the corporate cash management market in the region.
• CFOs
• Corporate Treasurers
• Regional Treasurers
• Treasury Managers
• Finance Directors
• Finance Managers
• Accountants
• Risk Managers
• Cash Managers
Plus representatives from banks, consultancies, service suppliers, rating agencies and system vendors.
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