Every other week in International Finance & Treasury you will find strategies leading firms use to succeed, keeping you up-to-date on such issues as deregulation, changes in global tax and accounting procedures, new financial instruments, currency matters and more.
International Finance & Treasury provides independent, in-depth analysis of critical issues affecting every international corporate finance unit. International Finance & Treasury explores the strategies leading-edge firms use to succeed, keeping you up-to-date on such key issues as deregulation, massive changes in global tax and accounting procedures, new financial instruments, currency matters, and fierce competition in a volatile marketplace. Look to International Finance & Treasury for cash management techniques, financial strategy reports, regional treasury alerts, tax rules, and international accounting standards.
In each weekly briefing, you will learn:
The most effective cash management strategies employed by the top multinationals
How new international tax, accounting, and financial reforms may effect your business
The latest on important treasury issues, such as using in-house banks, transfer-pricing, benchmarking, and risk management tools
Monthly forcasts of exchange rates by a consensus of 60 corporate treasurers
International Finance & Treasury has recently been combined with the weekly International Reports, which has been providing the most thorough coverage available of world currency markets for over 50 years.