Treasury advisory

Empowering treasury for strategic impact

The treasury function is facing growing complexity with pressure from stakeholders and regulators to strengthen financial performance, liquidity and compliance amid volatile market conditions. By leveraging timely insights and emerging innovations, RSM’s treasury advisory practice helps your organization transform treasury from a reactive function into a strategic enabler of growth, resilience and efficiency.

Experience


Deep knowledge of treasury operations, technology and governance backed by over 125 years of combined experience helping organizations optimize their treasury function.

Focus


We focus on transforming treasury from a transactional function into a strategic source of liquidity insight and control.



 

Strategy


We take a collaborative, hands-on approach, working closely with treasury teams to address real-world challenges and implement solutions that strengthen visibility, control and scalability.
 

Our treasury advisory services

Cash and liquidity

We position your organization to have full visibility and control over cash positions and liquidity needs. Our solutions enable accurate forecasting, efficient cash management and strategies to optimize funding across entities. Services include:

Cash

Cash positioning and daily funding automation 

Planning

Liquidity efficiency strategies and capital planning

Strategy

Intercompany funding strategy, design and implementation

Arrow

Cash flow forecasting as a building block for working capital optimization

Banking and financial partners

We help organizations design and optimize their banking landscape to enhance visibility, reduce complexity and strengthen financial partnerships. Our approach improves account structures, pricing transparency and alignment between banking services and your operating model. Services include:

Cash

Bank account rationalization and structure design

Model

Banking relationship strategy and service model optimization

money

Bank fee analysis and pricing transparency review

Merger and acquisition integration and separation

We support seamless treasury integration and carve-out activities during mergers, acquisitions and divestitures. Our structured approach focuses on day-one operational readiness, banking continuity and optimized liquidity structures post-transaction. Services include:

money

Day-one treasury integration planning and execution

Model

Treasury carve-out design and standup support

Cash

Banking and liquidity restructuring post-transaction

Strategy and target operating model
0 min. read

We design scalable treasury operating models aligned with your growth strategy and organizational structure. Our advisory services enhance governance, centralization decisions and role clarity to drive efficiency and long-term transformation. Services include:

money

Treasury target operating model design

Model

Centralization and shared services strategy

Cash

Treasury organizational structure and governance design

Financial risk management

We help your organization identify, measure and manage financial risks that affect earnings, liquidity and enterprise value. Our solutions strengthen risk governance, enhance visibility into exposures and create practical strategies to mitigate market, credit and operational risks. Services include:

money

Financial risk identification and exposure assessment

Model

Risk quantification and measurement, scenario modelling and sensitivity analysis

Cash

Technology-enabled risk monitoring and reporting automation

Cash

Governance, policy development and oversight framework design

Treasury risk and controls

We strengthen treasury governance by identifying risks, enhancing internal controls and improving compliance frameworks. Our solutions help safeguard liquidity, protect against fraud and establish consistent policy adherence across entities and regions. Services include:

money

Treasury risk assessment and mitigation framework

Model

Payment controls and fraud prevention enhancement

Cash

Governance, policy and compliance advisory

We position your organization to have full visibility and control over cash positions and liquidity needs. Our solutions enable accurate forecasting, efficient cash management and strategies to optimize funding across entities. Services include:

Cash

Cash positioning and daily funding automation 

Planning

Liquidity efficiency strategies and capital planning

Strategy

Intercompany funding strategy, design and implementation

Arrow

Cash flow forecasting as a building block for working capital optimization

We help organizations design and optimize their banking landscape to enhance visibility, reduce complexity and strengthen financial partnerships. Our approach improves account structures, pricing transparency and alignment between banking services and your operating model. Services include:

Cash

Bank account rationalization and structure design

Model

Banking relationship strategy and service model optimization

money

Bank fee analysis and pricing transparency review

We support seamless treasury integration and carve-out activities during mergers, acquisitions and divestitures. Our structured approach focuses on day-one operational readiness, banking continuity and optimized liquidity structures post-transaction. Services include:

money

Day-one treasury integration planning and execution

Model

Treasury carve-out design and standup support

Cash

Banking and liquidity restructuring post-transaction

0 min. read

We design scalable treasury operating models aligned with your growth strategy and organizational structure. Our advisory services enhance governance, centralization decisions and role clarity to drive efficiency and long-term transformation. Services include:

money

Treasury target operating model design

Model

Centralization and shared services strategy

Cash

Treasury organizational structure and governance design

We help your organization identify, measure and manage financial risks that affect earnings, liquidity and enterprise value. Our solutions strengthen risk governance, enhance visibility into exposures and create practical strategies to mitigate market, credit and operational risks. Services include:

money

Financial risk identification and exposure assessment

Model

Risk quantification and measurement, scenario modelling and sensitivity analysis

Cash

Technology-enabled risk monitoring and reporting automation

Cash

Governance, policy development and oversight framework design

We strengthen treasury governance by identifying risks, enhancing internal controls and improving compliance frameworks. Our solutions help safeguard liquidity, protect against fraud and establish consistent policy adherence across entities and regions. Services include:

money

Treasury risk assessment and mitigation framework

Model

Payment controls and fraud prevention enhancement

Cash

Governance, policy and compliance advisory

Meet our treasury advisory leaders

Ready to optimize your treasury organization with modern technology, real-time data and comprehensive support?

Contact our team today.