BNY Mellon talks cash management in GB&FR

As market volatility continues, low interest rates persist and margins remain under pressure, effective cash management is more important than ever. In Global Banking & Finance Review, Dhiru Tanna, EMEA Sales Officer, BNY Mellon Treasury Services, describes how striking the right balance between mitigating emerging risks while capturing new opportunities – all without hindering liquidity – is vital to achieving real cash optimisation.

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