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Tax and Treasury 2.0: Effective Cash Flow Through Global Treasury Strategy

Deloitte Dbriefs | Business Strategy & Tax

Start Date and Time

January 23, 2013 2:00 PM

End date and time

January 23, 2013 3:00 PM

Time zone:

(GMT-05:00) Eastern Time (US & Canada)

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Host: Mark Steiger, Partner - Deloitte Tax LLP
1 Intermediate CPE Credit: Specialized Knowledge & Applications 

Cash management continues to be a top priority for CFOs around the globe as companies build cash reserves, shareholders exert pressure to invest or return cash, and changing or uncertain tax legislation becomes challenging. What are innovators doing to create more effective cash flow? We'll discuss:

  • Trends and challenges of today's treasury department, including the effects of long-term low-interest rates on funding.
  • Potential opportunities and challenges for tax-efficient repatriation of offshore earnings.
  • The effects of changing tax laws and the implications on global treasury strategy.

Learn how financial and tax executives can work together to yield greater cash-flow efficiencies.

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Please note: CPE Credit is not available for viewing archived programs.

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