Developments in financial markets, regulatory requirements, business models, organisation structures and technological developments require Treasury functions to continue to evolve to meet the changing requirements and face new challenges.

For a corporate treasury navigating the various business needs of today, it is imperative to ensure that the treasury function is fit for purpose and also efficient and adaptable to navigate financial challenges and opportunities.

Our team of experienced treasury consultants can support you and help you unlock value in various aspects of treasury management including financial risk management; cash and liquidity management; payment solutions; treasury strategy, organisation and processes; treasury accounting and valuations; and treasury systems and technology.

Analysts looking at a graph

Corporate Treasury newsletter

Our corporate treasury newsletter is your destination to discover the latest updates and insights.

Whether you're looking to stay informed about regulatory changes, market trends, or industry best practices, our newsletter has you covered.

Click below to sign up to our newsletter.

Placeholder image

Our Corporate Treasury services

We are positioned to bring in the required specialist knowledge and skill based on your individual requirements. 

  • Developing and optimising financial risk management strategy and policies across FX, interest rate and commodity risk
  • Design and enhance risk management processes
  • Developing risk quantification models for measurement and monitoring of financial risk
  • Developing flexible and user-friendly risk reporting
  • Designing and implementing liquidity management models such as in-house banking, payment factory and cash pooling structures
  • Cash positions and working capital optimisation
  • Selection of banks, bank account and bank fee management
  • Setting up technical connections (formats, connectivity, e-banking)
  • Review treasury strategy, governance and policy
  • Design of target operating model and treasury roadmap
  • Diagnostic review, benchmarking and and optimisation of treasury process, operations and controls
  • Enhancing treasury monitoring and reporting framework
  • Treasury managed services and secondment of trained professionals to help you focus on strategic initiatives
  • Independent valuation of financial instruments, derivatives including power purchase agreements and risk valuation adjustments (credit/debit value adjustments (CVA/DVA))
  • Design of hedge accounting strategy and develop hedge documentation and effectiveness testing framework
  • Application of hedge accounting treatment and disclosure requirements
  • Macro-fair value hedge accounting strategy and effectiveness testing framework
  • Design of treasury technology landscape including architecture and interfaces
  • Selection of treasury management system (TMS) and implementation support
  • Health checks to optimise the use of treasury technology by way of improvements to process efficiency, use of functionality, system operations, costs and sustainability
  • Design, optimise and implement treasury reporting solutions through automation and analytics

Get in touch

We put value at the heart of everything we do. We understand the needs of our clients and endeavour to help them respond to the evolving market environment and business needs. Our team of experienced subject matter experts are focused on delivering quality outcomes for our clients.

Our access to KPMG’s global network of treasury professionals ensure that we can draw on their experience to have the right support, advice and services you need.

To find out more about how KPMG can help you focus on what’s next for your treasury, please get in touch with our team below. We’d be delighted to hear from you.