This workshop explores how India’s favorable regulatory changes and trade reforms—particularly those involving the European corridor—are reshaping opportunities for multinational corporations. We will examine key regulatory developments, their implications for cross-border liquidity, foreign exchange, and treasury operations, and how companies can position themselves to benefit from India’s evolving market landscape. Participants will gain practical insights into operational challenges, treasury impacts, and strategic considerations for navigating this new environment. The session combines geopolitical context with concrete treasury use cases relevant to global finance teams