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Article: Enhancing Cash Pooling for Effective Liquidity Management in Corporate Banking Analyst Insight.
- Article from:
- Investment Weekly News
- Article date:
- November 14, 2009
CopyrightCOPYRIGHT 2009 NewsRX. This material is published under license from the publisher through the Gale Group, Farmington Hills, Michigan. All inquiries regarding rights should be directed to the Gale Group. (Hide copyright information)
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Research and Markets (http://www.researchandmarkets.com/research/a7d816/enhancing_cash_poo) has announced the addition of the "Enhancing Cash Pooling for Effective Liquidity Management in Corporate Banking (Analyst Insight)" report to their offering.
The financial and economic crisis has heightened the importance for corporate treasuries to achieve full cash visibility and accessibility. This is increasing the demand for liquidity management from corporate banks on top of cash management services. Providing cash pooling is a key enabler for this, and innovation in this service is set to be a competitive necessity in the current environment.
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