The fluctuations in the currency markets throughout 2015 and 2016 have made cash management tasks even more challenging, and the job of Treasurers and their teams harder day after day.
Over the past couple of years treasury, but also accounting and finance departments around the world had to adapt to a seemingly long-term resurgence in currency volatility.
[hide for=”!logged”][/hide][hide for=”logged”]Please [modal_login] or [modal_login form= “register”] to download this document[/hide]