Corporate treasury services - Ernst & Young
Financial Accounting Advisory Services
Corporate treasury services
The demands on corporate treasury departments are undergoing constant change, driven by shareholders, regulators and organizations themselves. Requirements for increased transparency, better control and enhanced performance means treasury leaders need to continuously update their technical knowledge, reduce costs, minimize volatility, deliver value and ensure clear lines of communication. They need a dedicated information system to support those challenges.
It's increasingly important that organizations adopt an integrated, holistic approach to their treasury activities, rather than pursue temporary solutions for individual issues.
Shareholders are looking for companies to provide more information about how they manage financial resources and risks. Their demands for increased transparency and better control are driving a global trend toward centralization of treasury activities.
Treasurers also need to cope with the growing complexity of financial instruments, volatile financial markets and the introduction of new regulations and accounting practices. Hot topics include the European Market Infrastructure Regulation (EMIR) for over-thecounter derivatives, IFRS 9 and 13 for derivatives accounting and valuation, tax matters for cash pooling and payment factory implementation, and the Single European Payment Area (SEPA).
In such a challenging environment, our Corporate Treasury team can help you define the role and responsibilities of your treasury function, and work with you to enhance its performance.
Quality assurance Planning
Supporting your treasury function
Strategy
Assurance and control
Organization and governance
Treasury technology
Valuation and accounting
Treasury
Performance assessments
Management
Financial risk management
Corporate luncing
Cash and liquidity management
Implementation
Implementation
A portfolio of services to support your treasury function
Treasury organization and governance
Planning
Drawing on our broad experience and deep knowledge, we can provide assistance in all areas of treasury. Our portfolio of solutions covers the full scope of a treasury function including:
? Treasury organization and governance ? Treasury performance assessment ? Financial risk management (interest, foreign exchange, credit risks and
commodity risks)
? Cash and liquidity management, including cash forecasting ? Corporate funding and capital management ? Treasury technology, including treasury management system (TMS) selection
and implementation
? Valuation and accounting for financial instruments (IFRS and local GAAP) ? Audit, quality assurance and compliance
We can give you a thorough assessment of your treasury organization, benchmarked against industry practice, with clear recommendations for improvements and processes to reduce significant risks.
Our assessment will enable you to prioritize actions within your treasury and define an action plan for implementation.
Treasury performance assessment
We have developed a framework to assess the functional performance of a treasury function, based on our global experience with treasury organizations. We also take into account external benchmarks and guidelines, such as those from industry bodies, IFRS and corporate governance codes.
The many facets of corporate treasury require a pragmatic interpretation of relevant regulations, which need to be considered in the broader context of the company's risks and its level of complexity.
Taking into account external market trends, as well as our extensive industry experience, we have developed a compact corporate treasury checklist that allows a comprehensive benchmarking against leading practices and provides a quick insight into potential improvements.
Financial risk management (interest rate, foreign exchange, credit and commodity risks)
We can help you develop and strengthen your understanding of financial risk management strategies, helping you to achieve your organization's goals ? both in terms of better business performance and enhanced financial reporting.
This includes a comprehensive overview of your organizational structure and infrastructure (such as policies, controls, processes and models), and the development of methods and processes for quantifying, assessing and monitoring financial risks.
Cash and liquidity management, including cash forecasting
We can guide you through the optimization of your company's financial resources (cash management and funding) and help you detect the best path to follow, so you can ensure that cash is managed effectively ? from both a financial and tax perspective.
We can help you assess the reliability of cash forecasting and the adequacy of your process in this area, designing or executing a better cashforecasting model as required. We can assist you secure your payment means more effectively, leveraging SEPA and other changes in the payments landscape.
50% of large companies have not implemented homogenized procedures to forecast their cash flows.
34% of companies do not analyze the variances between real cash flows and forecasts systematically, in order to make the necessary improvements.
Source: Ernst & Young European Treasury Survey 2011
Corporate funding and capital management
Financial instruments ? valuation and accounting
In the area of corporate funding, we can help you to select and implement:
? Appropriate structures, procedures and systems to determine and manage the
financing strategy of your company
? A financing strategy tailored to meeting organizational, legal, regulatory, fiscal,
contractual and accounting constraints
? Ways of reaching optimal financing costs and an appropriate diversification of funding
sources
We can support you on the application of IFRS 7, 9 and 13, and perform the following:
? An impact assessment ? CVA and DVA methodologies and quantification ? Profit and loss volatility assessment, using our modeling and valuation skills ? Hedging strategy optimization ? Valuation review (basis risk, IOS valuation, commodity specifics and others) ? IFRS convergence project
Treasury technology, including TMS selection and implementation
We can assist with:
? Alignment of treasury technology to your requirements ? Fast and efficient integration of systems into your processes ? Extensive TMS knowledge and proven methodologies for system selections,
and the business aspects of implementation
? Independence in choosing the system provider ? Sustainable knowledge transfer
Functional overview of a TMS
Bank system
Trading system
Forecasting system
Risk management system
Accounting system
Reporting system
Treasury management system
Cash management
Liquidity management
Corporate finance
Interest rate risk FX risk Credit risk Commodity
Treasury accounting
Back Office
Treasury control and reporting
Market data system
Confirmation system
EY | Assurance | Tax | Transactions | Advisory
About EY EY is a global leader in assurance, tax, transaction and advisory services. The insights and quality services we deliver help build trust and confidence in the capital markets and in economies the world over. We develop outstanding leaders who team to deliver on our promises to all of our stakeholders. In so doing, we play a critical role in building a better working world for our people, for our clients and for our communities.
EY refers to the global organization, and may refer to one or more, of the member firms of Ernst&Young Global Limited, each of which is a separate legal entity. Ernst&Young Global Limited, a UK company limited by g uarantee, does not provide services to clients. For more information about our organization, please visit .
Audit, quality assurance and compliance
We can provide the following services, as part of a specific internal audit assignment, as agreed upon procedures, or as audit support:
? Help to reduce operational risks and
identify operational improvements
? 2013 EYGM Limited. All Rights Reserved.
EYG No. AU1748 SRE 0713-146 ED None
? Advice on compliance with relevant
legislation and regulation (such as EMIR
for OTC derivatives)
Helping you get the most from your corporate treasury
Our Corporate Treasury team includes more than 150 professionals serving industry leaders and high-performing companies across Europe. We have the specific skills and experience needed to provide you with treasury solutions that are both sophisticated and practical. More widely, our highly integrated global network, based in every time zone, works with large companies worldwide ? delivering services and sharing market insights and best practices.
Contacts
Olivier Drion EMEIA Treasury Leader olivier.drion@fr. + 33 146937914
This material has been prepared for general informational purposes only and is not intended to be relied upon as accounting, tax, or other professional advice. Please refer to your advisors for s pecific advice.
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