
EuroFinance je omogućila 20% popusta za 18. Konferenciju International Cash & Treasury Management, koja se ove godine održava u Kopenhagenu od 21. do 23. Oktobra 2009.
Prošle godine konferencija je uspešno održana u Barseloni (Španija), sa preko 2000 prisutnih delegata.
Ove godine na konferenciji će biti predstavljene brojne case studije menadžmenta u kriznim situacijama, koje su dovele do primene novih metoda upravljanja kapitalom.
Nemojte zaboraviti da navedete referentni kod za rezervaciju VLX/20 kako biste sebi obezbedili 20% popusta specijalno odobrenog za korisnike jednog od vodećih poslovnog portala u Srbiji eKapija.
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EuroFinance Conferences recognise your need to operate a best practice department in the current economic climate and would like to help you achieve this!
And, since action speaks louder than words, they have secured for you a generous 20% discount offer for the 18th Annual Conference on International Cash & Treasury Management, this time being held in Copenhagen on 21-23 October 2009.
Last year’s conference was held in Barcelona (Spain), with over 2000 Delegates in attendance. So, if there is one Conference you will attend this year, make sure your money is well spent and join us in Copenhagen!
This year’s Conference will be a fascinating collection of case studies showing how crisis management has stress-tested the treasury and brought about significant shifts in focus and practice. Plenary sessions will bring you expert economists, regulators and those in the know to help you understand the new world dynamics as they unfold.
Ultimately the theme for this event, despite the volatility in the World, is that there is strength in common sense thinking.
Full Conference programme is now available on-line.
Kindly note that in addition to the 3 day Conference Programme, we will be offering a series of inter-active , highly practical pre-Conference Workshops the 20th of October, and on the following subjects:
1. Advanced Cash Flow
Increase the accuracy of your forecasts, maintain their usefulness under different scenarios and pressures, and maximise the benefits of improved cash generation.
2. Corporate Risk Management
Examine the concepts of risk management and how they should be applied across organisations in principle
3. IFRS Updated
An update on hedging including the latest changes and most complex issues. Plus a focus on other key standards and how these affect treasury.
4. M&A – the Role of the Treasurer
Starting with an overview of the M&A market in Europe and the role of the treasurer in it, this course will look at all of the treasury related steps in the M&A process.
5. Processes and Metrics for Advanced Working Capital Management
Optimising working capital is a typical demand of treasury, but if you’re in charge of payables, receivables and/or inventory how do you measure the effectiveness of your strategies?
6. Tax for Treasurers
Review the tax ramifications for cash management and key issues including withholding tax, thin capitalisation and transfer pricing.
You can register on-line (if paying by Credit Card) or simply by completing and sending me back the attached Registration Form.
Please don’t forget to quote a booking reference code VLX/20 in order to claim the 20% Complimentary Discount reserved for Customers of Serbia’s No.1 Business Portal E-Kapija!
For more information, please contact
Maria Merc
Direct tel: +46 (0)8 768 4955
e-mail: mmerc@valex.co.uk
Registrujte se:

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