Many countries present unique challenges for corporate treasury, whether from volatile macroeconomic and geo-political constraints or because of shifting regulatory landscapes, underdeveloped banking infrastructure, exchange controls, and liquidity and FX constraints to name but a few. How can companies navigate these environments, mitigate the risks and the impacts to the bottom line as well as to identify opportunities?

Join these small, interactive workshops with market briefings from the Economist Intelligence Unit and practical insights from corporate treasurers and banks active in these markets. There may be no outright solution to all the problems these markets pose, but this series will help you to benchmark your operations and question our panellists on how to do more effective business.