Optimizing Treasury and Cash Management on the Buy Side

Speakers

Gaurav Aggarwal

Chief Commercial Officer

Description

Driven by widespread industry pressure to find new sources of alpha, buy-side treasury operations are rapidly evolving. Many asset managers are embracing new technology to streamline key treasury functions. But this shift creates an urgent challenge: aligning treasury activities for optimal efficiency.

This webinar explores this issue in detail, showing exactly how asset managers can improve the efficiency of treasury workflows and use analytics to strengthen treasury operations.

Key Takeaways
  • Rising complexities of margin and collateral management
  • Cash and liquidity tracking, optimization, and forecasting
  • Strengthening counterparty relationships with wallet share analytics
  • Leveraging analytics to reduce the cost of carry and financing costs
  • Realigning cash management in a high interest rate ecosystem
  • Product Demo: IVP Treasury Management

Treasury Management

An active treasury management solution that tracks, controls, and optimizes collateral and margin management with a unique combination of best-in-class analytics and data tools.

Talk to an IVP Expert

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