Cash Management

FX for Corporates: 5 Best Practices for Treasurers

FX for Corporates: 5 Best Practices for Treasurers

In the FX world, the ability to master the market isn't considered a luxury for treasury specialists – it's a necessity. How can corporate treasury departments successfully handle risk management, cash management, FX exposure, hedging practices, and data analysis?

Market Volatility: Corporate Strategies for FX Payments

Market Volatility: Corporate Strategies for FX Payments

For corporate treasury teams, it can often be more challenging moving money than managing it when it’s in the register. As part of a new blog series, we will take a closer look at some of the macro events and currencies likely to have the greatest impact on the payments landscape in today’s volatile marketplace.

Managing Corporate Currency Risk: Lessons From Across The Organization

Managing Corporate Currency Risk: Lessons From Across The Organization

For companies, managing FX risk in a volatile marketplace is truly a team effort—one that requires effective collaboration across all levels of the organization. We analyzed the market and looked at key FX considerations and best practices across different teams and departments - from senior management to the many specialists working beyond the C-Suite.