Articles > TMI Magazine > Issue 165 - May 2008

Issue 165 - May 2008

Issue 165 - May 2008

SEB's Guide to Financial Supply Chain Optomism

Bush Banking

Richemont's Best Practice Treasury

Special Feature

 Rapid Returns in Receivables

by Helen Sanders, Editor, Treasury Management International (TMI)

 Bush Banking

by Bill McLellan, Managing Director, Poseidon Geophysics

Best Practice Articles

 Implementing a Best Practice Treasury at Richemont

by Vassilina Lapteva Walford, Group Treasury Projects Manager, Richemont

 E-invoicing 2008 - Highlights of the European market description and analysis

by Innopay and Euro Banking Association

 GasTerra and Deutsche Bank: Finding New Cash Management Efficiencies

by Jan Bruintjes, Manager Treasury, Tax & Insurance, GasTerra B.V.

 Treasury & Systems Centralization at USG

by Elizabeth Fruin, Treasury Manager, USG

Thought Leadership

 Outlook Cloudy but Improving - Managing Weather Risks

by Jean-Louis Bertrand, Chair, Banking and Finance Department, ESSCA

 SEB Introduction

by Erik Zingmark, Global Head of Cash Management, SEB

 Opportunities in Cash & Liquidity Management

by Niclas Osmund, Head of Large Corporates, Sweden, Cash Management, SEB

 Extending Best Practices into Trade Finance

by Lars Millberg, Global Head of Trade Finance, SEB

 Leveraging Opportunities in the Financial Supply Chain

by Alexander Braun, Global Head of Solution Management, Global Transaction Services, SEB

 Financial Supply Initiatives at Scania

by Jan Bergman, Group Treasurer, Scania AB

 Centralisation to Collaboration - the changing role of treasury

by Erik Seifert, Head of Cash Management, Sweden, SEB

Regulars

 Contents

 Letter from the Editor

by Helen Sanders, Editor, Treasury Management International (TMI)

 A Note from the EACT Chairman

by Olivier Brissaud, Chairman, EACT

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