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Treasury

As you in-house treasury director, I manage the following:

  • Cash flow forecating - Predicting future cash positions to help with decisions about funding, investments, and capital expenditures

  • Cash management – Monitoring & maintaining cash flow to ensure smoot operation of the business

  • Banking relationship management - ensuring we receive the baning services we need for smooth operations

  • Implementation of banking solutions and platforms

  • Strategic investment of excess cash

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