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Unlock Your Company’s Cash Potential

In today’s world, liquidity management is a key area of focus for corporate treasurers and institutional investors alike. Balancing yield, security, and flexibility in the face of changeable market conditions requires a disciplined approach and a clear understanding of available solutions.

Join TMI, Amundi and Carrefour to explore how various liquidity solutions can help corporates manage cash efficiently within a robust, risk-controlled framework. The discussion will cover current market trends, short-term investment strategies, and practical ways to optimise cash while maintaining a focus on safety and performance.

Key Takeaways:

  • Examine today’s liquidity landscape and its implications for cash investors.
  • Learn how to achieve stability and yield within a risk-managed framework.
  • Understand how Amundi Liquidity Solutions supports short-term investment needs.
  • Gain practical insights for navigating volatile markets with confidence

Speakers

  • Julien Fouré, Group Front Office and Capital Market Director, Carrefour
  • Stéphanie Akhal - Head of Liquidity Solutions Business Development Europe, Amundi
  • Daniele Curci – Head of Investment Specialists and Business Development - Liquidity Solutions, Amundi

Moderator

  • Ben Poole, TMI Editorial Team