SWIFT for Corporates – Cutting through the complexity of multi-banking
As the Treasurer of an international corporation, you need to be able to move cash around the globe in a reliable, easy and secure way. To do that, you most probably have to deal with multiple banks to support your payments, treasury and trade finance needs, with each one of them having their own reports and formats. How can you keep a consistent view on your cash positions across the globe – and across your banks? How can you comply with regulations across the regions and more importantly, how do you manage associated risks?
Come and hear from Treasurers how they have cut through the complexities of multi-banking with SWIFT for Corporates. Be the first to discover future enhancements to the portfolio and how banks and corporates can collaborate to go even further together.