Treasury & FX in Indonesia

Treasury & FX in Indonesia

Call date: 21st May 2019

In this call, members shared their experiences of cash and treasury management in Indonesia, including : experiences with customs, hedging, cash repatriation, customer credit and cash pooling.

The call was chaired by Damian Glendinnig, the key discussion areas are below.

If you would like a copy of this report, please get in touch.

Click here for more reports on South East Asia

Key topics in this report

  • Cash repatriation
  • Customs delays
  • Local banking: collections, balance reporting & sweeping
  •  FX & Hedging
  • Funding operations
  • Cash pooling
  • Customer credit

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