Article

March 2018 9 Min Read

Hybrid Cloud ERP: Taking Treasury by Storm

 It might sound too good to be true, but there is a way to gain greater visibility over group cash, reduce payments fraud, and extract further value from your ERP – without migrating decentralised subsidiaries into the ERP environment. In this month’s...

Article

November 2017 6 Min Read

The Next Treasury Chapter at HeidelbergCement

In 2014, David Flory, Head of Group Cash Management at HeidelbergCement, discussed the evolution of the company’s cash pooling strategy. This is a particularly complex undertaking as cement, aggregates and ready-mixed concrete production take place within close...

Article

June 2011 7 Min Read

Making the Decision to Hedge

FX hedging is a fundamental element of every treasurer’s role, with the potential for large swings in financial results if hedging is absent or insufficient. Defining the right hedging policy for the business is essential, taking into account stakeholders’ risk...