Optimizing Corporate Cash Investments: Macroeconomic Drivers, Risk Considerations, and Money Market Funds
The Hellenic Association of Treasurers, in collaboration with Goldman Sachs, successfully hosted a webinar on 28 January, bringing together treasury and finance professionals for an insightful discussion on corporate cash investment strategies.
The session provided an executive-level perspective on how organisations are adapting their liquidity and investment frameworks in response to evolving market conditions.
Valuable insights were shared by Pauline Bourdeaud’hui (Goldman Sachs), Andreas Papanagiotopoulos (ELLAKTOR Group), and Konstantinos Andritsopoulos (Volton Ελληνική Ενεργειακή & HAT), who explored practical approaches to liquidity allocation and cash management in today’s environment.
HAT extends its sincere thanks to all speakers and participants for contributing to a highly engaging and informative session.
