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Cash and Liquidity Management Special Report
This special report, sponsored by SmartStream Technologies, focuses on the business and operational benefits that banks stand to accrue through the systematization of their cash and liquidity management functions, while also examining the technologies and best practices that firms might look to develop and implement to make such endeavors feasible.
While the development and deployment of liquidity-monitoring tools might be seen by some capital markets firms as a financial burden and an unnecessary cost of doing business, the commercial benefits of making such moves over and above the regulatory implications are clear.
This special report includes a virtual roundtable in which SmartStream’s Darryl Twiggs provides color on these advantages, and explains how banks can enhance their funding decisions and integrate their liquidity management functions with their collateral management practices, while offering the potential for generating higher returns.
Read/download the report at Risk Library
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