Building Resilient Corporate Liquidity: Modern Cash Structures for Treasury Teams
What you can expect:
How should corporate liquidity be structured to maintain control across fragmented cash positions, improve execution efficiency, and strengthen short-term investment diversification? This session shares practical approaches to enhance governance, streamline investment workflows, and connect cash allocation with daily treasury execution, helping teams build resilient and scalable liquidity structures.
Lecturer:
Eoin Ellis
Head of Liquidity and Margin Sales & Relationship Management, EMEA
Benno Jöckel
Director of Business Development Distribution
General information:
master class
Thursday, May 7, 2026
10:45 a.m. - 11:30 a.m.
Studio 2.2 (A)
English
AI-assisted translation: German | French | Italian | Spanish | Portuguese
Sponsor:
Insight Investment Management (Europe) Limited