Upcoming events - Registration Detail

24 Apr 2024 11:30 AM • Rideau Club, 99 Bank Street, 15th Floor, Ottawa, ON

Euro-Finance - Cash, Treasury and Risk Management in Canada

  • 09 Apr 2013
  • 10 Apr 2013
  • Toronto, Ontario

EuroFinance is delighted to advise that we are hosting our 3rd Annual conference on Cash, Treasury and Risk Management in Canada, which will take place at the Hotel Novotel Toronto Centre on April 9th to 10th 2013.

 

Our unique program explores key subjects of critical importance to Treasury professionals. Learn from the experts; highlights include:

 

  • Risk management: When is it rocket science (Dr. Jeevan Perera, NASA-USA)

  • Strategic Forecasting: bringing regional units and operations in line (Hugo Garba, Magna - Brazil)

  • Smooth Liquidity: Best practice cash management in volatile times (Tim Herrod, Potash - Canada)

  • Counterparty risk: How do you rate your banks, suppliers and customers? (Jan-Martin Nufer, Borealis – Austria)

  • Cross-border treasury for North America  (Paola Farnesi, Domtar – Canada and Hany Naguib, Bank of America Merrill Lynch, Canada)

  • Plus! Optimise the accuracy of your forecasts in our 2 day post-conference training in Cash Flow Forecasting and earn up to 16 CTP/CCM credits

Visit www.eurofinance.com/canada for full details on this conference.

 

EuroFinance has offered an exclusive 25% treasury association discount off the early registration price. You must register on or before MARCH 15th to take advantage of  the early registration price along with the discount. To register please contact Shivani Babber on shivanibabber@eurofinance.com with the code AFP/OTT.

 

 



 

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