What are the key criteria when selecting a new Treasury Management System – best-of-breed vs. integrated solutions?
How do you identify and engage the right external partners (banks, TMS providers, consultants) during a rebuild phase?
How should financing be structured during the transition period? What is the role of cash pooling in the new setup?
How do you design efficient treasury processes and internal controls from a greenfield perspective? How do you rapidly build a high-performing treasury team – internal vs. external hiring, centralized vs. decentralized setup?