私たちの仕事

We advise our clients on corporate finance and treasury strategy, integrated planning, cost takeout strategies, and operations, data and technology transformation. Working together, we help our clients to optimize profitability, enhance risk management, increase efficiency, and drive sustainable change. Our finance and treasury management teams work seamlessly with you to develop operating models, methodologies, and processes to more effectively and efficiently manage your planning, funding, liquidity and balance sheet management needs.

Our advisory capabilities include financial performance management, capital management, funding and liquidity management, interest rate, liquidity and FX risk management, cost management, finance transformation, scenario-based financial planning and stress testing frameworks, industry benchmarking and gap analysis, and capabilities for governance, process, modelling and reporting.

We can help your business to efficiently develop and reforecast strategic plans, deploy financial resources and drive return on equity (ROE) improvements through digital transformation, next generation data and analytics, visibility and control.

 

私たちの知見

Capital Planning And CCAR During COVID-19

Capital Planning And CCAR During COVID-19

詳細

Unlocking the strategic-minded CFO

Seven success factors for businesses to surge ahead

詳細

Making Good Decisions In Bad Times

Critical Capabilities For Effective Liquidity Management

詳細
A Treasurer's Liquidity Management Action Plan For COVID-19

A Treasurer's Liquidity Management Action Plan For COVID-19

詳細

Latest FS COVID-19 Insights

Responding To Coronavirus

詳細
LIBOR Transition: Time to Switch Rates

LIBOR Transition: Time to Switch Rates

詳細

8 actions for corporate treasurers in the pandemic

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詳細
Covid-19 Economic Stimulus: US Cares Act

Covid-19 Economic Stimulus: US Cares Act

Our summary parses the key elements and attending commentary for firms.

詳細
 

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