about the event

risk management

Optimal International Treasury Structures to grow your business

4th - 5th March 2007
Dubai, UAE


Tutor:
Christopher Robinson, Director, mycashmanagement.com, UK

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About the course

Risk Management
4 - 5 March 2007


This two-day course will focus on risk management and will examine the ways in which foreign exchange and interest rate exposure can be managed by using a wide variety of FX and interest rate products.

Tutor: Nabil. W. Zaki, Managing Director, Global Finance & Derivatives Association and Adjunct Professor of Finance, New York University, USA

Nabil W. Zaki has been in the investment and banking industry for more than 30 years. During that period, he assumed senior positions in both Corporate Finance and Treasury with major Wall Street firms and international financial
institutions in New York, Canada and the Middle East. He has held high profile management positions with Chase Manhattan Bank, Merrill Lynch, Prudential Securities and Tradition. Currently, Nabil Zaki is an adjunct Professor of
Corporate Finance and Derivatives at New York University as well as New York Institute of Finance. He lectures extensively on portfolio management, risk management, derivatives, and international capital markets for major
Wall Street firms and financial institutions. He is a regular commentator on CNN, CNBC and Al-Jazeera and holds a Masters degree in Economics and Finance from Syracuse University, New York (1981).

Optimal International Treasury Structures to grow your business
Monday 5 March 2007


This pre-conference course provides essential training for corporate treasury and finance professionals who need to implement treasury management best practice, combining both treasury strategy with practical operational issues. The course focuses on corporate needs and the structures used by the most sophisticated multi-national companies.

This course will be particularly useful if you are about to embark on the following types of projects for your company: treasury re-structuring or
re-engineering; setting up a new treasury or payment factory function; and selecting an international bank. The course is also relevant for bankers and system vendors who need to understand the needs of their corporate treasury clients better.

Attendees are expected to have a general understanding of treasury and international banking operations.

Tutor:
Christopher Robinson, Director, mycashmanagement.com, UK

 
Chris has over 20 years experience in the payments business, working in treasury, cash management, transaction services, trade e-commerce and card acquiring. In 2003 he set up myCashManagement.com, a treasury and payments best practice training and consulting business. Prior to this, Chris has worked in senior roles for Citibank, Bank of America and Swallow Business Systems. As Head of Global Solutions for Citibank’s Global Transaction Services, he was actively involved in setting and executing the strategy. He was also a member of the management team for the Citibank Cash Management Europe business, which evolved into a global $3bn transaction service. He has a depth of experience in the trends and development of the payments business in many global markets.




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