| Upcoming event: |
| Download Brochure |
| Registration |
| Get sponsorship pack |
| About the Event: |
| Overview |
| Agenda |
| Conference Highlights |
| Who Will I Meet |
| Speakers |
| Venue |
| Get involved: |
| Delegate Opportunities |
| Sponsoring or exhibiting |
| Speaking Opportunities |
| Our Partners: |
| Supporting Organisations |
| Media Partners |
Corporations in Central and Eastern Europe play a very significant role in boosting the regional economy. Many Western European companies have suffered as the result of the recent economic crisis. Surprisingly, economies of Central and Eastern Europe have turned out to be more resilient to the global financial crisis. Of course, the slowdown has been experienced but corporations in the CEE region are in a winning position during this difficult time. The reason for it is the highest level of consumption in these countries.
Covering the latest developments and practice in cash management, risk and liquidity management in corporations across Central and Eastern Europe, CEE Corporate and Cash Management 2010 will present the best practices for cash management, financial risks management.
This conference will examine the key challenges and opportunities ahead of treasury departments in companies in Central and Eastern Europe, the latest issues international and local companies face in terms of cash and risk management and access to financing. The EastEuro Link CEE Corporate Treasury and Cash Management 2010 will provide you with the overview of regulatory challenges corporations in the CEE face; learn about the latest international treasury management techniques, participate in an interactive panel discussion on how to manage the financial risk in your corporation.
CEE Corporate Treasury and Cash Management 2010 is bringing together some of the leading industry experts to address the key issues facing international and local corporations and explore the market potential of treasury cash and risk management.