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| Call us for an appointment +49-69-951117-0 Treasury and risk management in russiaTuesday 6th – Wednesday 7th June 2006Moscow, Russia Event Summary EuroFinance, the leading provider of treasury management conferences world-wide, is returning with the third annual treasury event solely dedicated to Russia. With an all new programme, this two-day intensive conference will examine the continuing development of treasury services, the restrictions placed on them and how barriers to effective treasury, liquidity and risk management can be managed, avoided and broken down. This conference will explore the opportunities and challenges within Russia and equip delegates with practical solutions for developing and improving the performance of the treasury function whether it be in its infancy or well developed. Conference style This is very much an intensive, need-to-know conference ensuring that your scarce resources of time and money are put to maximum effect. Between sessions and at the beginning and end of the day, there will be ample opportunity to network with like-minded professionals, to compare experiences and opportunities, as well as visit the allied exhibition where relevant suppliers will be on-hand to discuss your issues and possible solutions. Who should attend? The conference is tailored to finance and treasury professionals working within, or responsible for, corporate entities in Russia whether they be domestic companies, regional companies, or multi-national companies. The conference will act as a vital intelligence gathering event for companies and professionals considering operating in Russia for the first time, and is also open to bankers, professional advisors, and other service providers operating in the corporate treasury management market in Russia. Topics to include: • Setting up and maintaining an optimal treasury • The current regulatory and legal outlook - an update • Simplifying your legal structure from a treasury point of view and Corporate restructuring for better efficiency and management of cash • Setting up internal controls for the treasury • The wider risk picture • Political and country risk: what you need to know • How to set up a local credit risk policy • Hedging currency and interest rate exposure • Hedging commodities • Insurance • How to achieve optimal working capital management • The Russian and European payments landscape • Best practice in accounts receivable and payable • How ERP can enhance visibility and liquidity • Getting your cash flow forecasting right • Excess cash: how to make it work for you • Integrating treasury and the budgeting and planning process • Balance sheet management • Debt financing: strategy and options • Structured financing • Everything you need to know about private equity • IPOs • Mergers and acquisitions • Best practice cross border movement of funds • Unlocking liquidity: domestic and international pooling solutions |
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