Intraday liquidity management in the post-pandemic environment
Customers increasingly expect banks to support real-time payments and transactions globally. Collecting and acting upon real-time data has been essential for banks during the pandemic to stay liquid and continue delivering great service to their customers. There is also a push from the Fed and other market participants for banks to put infrastructure and systems in place to support real-time operations.
Treasury and liquidity professionals need to act now to ensure they have the data analytics and technology capabilities to optimize cash and liquidity in real-time. Join this webinar to hear strategies on intraday liquidity management in the new operating environment.
Learning Objectives:
- Know what tools are needed to achieve real-time liquidity management
- Understand the benefits to a treasury department in having access to real-time intraday data
- Discover the strategies and practices in liquidity management to support real-time management
- How to define success in managing real-time treasury
Speakers
- Tom Braun Executive Director/Head of CUSO Liquidity & Funding Risk at UBS
- Pete McIntyre Financial Services Director at Planix
- Edward Medeiros Managing Director, Group Liquidity and Global Cash Management at Scotiabank
- Byron Byrd Director Financial Services at Infor