Corporate finance can be used to control the liquidity risks. Or it can minimize the capital costs of an organization. Depending on the need for financing, funds can be raised or invested on the international capital markets. We are experienced in optimizing the capital structure of organizations.
Treasury Management pertains to the active control of future cash flows. Treasury management provides an insight into the concomitant consequences and risks, and renders them both quantifiable and manageable. Support is offered through advise and interim services.
Risk Management pertains to the acquisition of an insight into financial risks. We quantify these risks by means of value at risk, cash flow at risk and time series analyses, or by the use of simulation techniques such as Monte Carlo.
The Treasury IT department offers independent IT solutions for treasury problems. Services include the restructuring of IT operations of treasury departments and organisations, the implementation of new treasury and risk-management systems and the installation of international cash-management and payment programs.
Zanders is an independent Treasury & Risk consulting firm. We advise leading corporations, financial institutions and public sector entities on Treasury Management, Risk Management, Treasury & Risk Technology and Corporate Financing.