CEE Treasury Playbook: Local markets and strategies for risk and liquidity management

22 May 202516:15 - 17:00

The workshop provides strategies for successful treasury engagement in Central and Eastern Europe. The starting point is the economic trends in the region and their impact on the CEE markets. We shed light on the dynamics of local currencies and their implications for your risk management. Especially in liquidity management, local currencies create additional complexity that requires cash management solutions to ensure a fast and efficient cash flow.

Lecturers

Eszter Gárgyán

CFA: CEE FX Strategist

UniCredit

Johannes Kannwischer

Head of FX Corporate Treasury Sales

UniCredit

Antoine Krizan

Head of Cash Management Large Client Sales

UniCredit

  • May 22, 2025
  • 16:15 - 17:00
  • Workshop
  • Vario hall 5
  • Sponsor:
UniCredit