Cash management is one of the most important treasury management functions for a hedge fund. As a naturally complex process, it involves a routine and detailed examination of systems and core functions. Successful cash management requires time and effort as well as the active management of capital in order to sustain a fund’s ongoing activity, mobilization of cash and optimization of liquidity. Read More
Product In-Depth Sessions
Showcasing add-on analytics and IR extension on IVP’S Clout Hosting platform, Strats, which will help with canned dashboards for scorecards and
attribution and haveing a systematic approach towards managing IR information.
- Piyush Singhi Director of IVP’s Credit Solution