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On-Site Tradeshow

Rethink! Strategic Treasury & Financial Risk 2026

September 21-22, 2026Frankfurt, Germany

Ripple Treasury is heading to Frankfurt to explore where treasury forecasting goes next. Join our panel, Forecasting Quo Vadis, meet the team and see the platform in action at our booth.

Rethink! Strategic Treasury & Financial Risk 2026

About the Tradeshow

Treasury forecasting is at an inflection point. Interest rates have steadied, but supply chains, trade routes and operating models keep shifting, and the exposures underneath your forecast now move faster than the forecast itself. Ripple Treasury comes to Frankfurt to talk about what that changes for the way you plan.

Rethink! Strategic Treasury & Financial Risk brings group treasurers, heads of treasury and CFOs together for two days on cash and liquidity management, financing security, hedging strategy and treasury risk. The agenda is built for practitioners rather than generalists, so the conversations stay concrete.

Our team will be on site both days. We will be discussing how treasury teams move from static, point-in-time forecasts toward continuous scenario management, and what that requires in data integration, connectivity and analytics.

Topics include:

Dates

September 21-22, 2026

Location

Frankfurt, Germany

Venue

Radisson Blu Hotel

Key Takeaways

Connect With The UK CFO Community

Engage with senior finance and CFO leaders, sharing insights, strategies and best practices from across the EU leading organisations.

See Ripple Treasury in Action

Visit our booth to explore how Ripple Treasury centralizes cash visibility, forecasting and payments in a single platform.

Request a one-to-one meeting

Book dedicated time with our team ahead of the day. Slots are limited to 12 and confirmed on request.

Improve forecasting accuracy

Learn how automated forecasting tools help treasury teams anticipate cash needs and reduce planning surprises in unpredictable market conditions.

Speakers

Sessions

Request to meet with Ripple Treasury

Book ahead and we’ll come ready with insights tailored to your business.

GΓΆkhan Nazenin

Head of Commercials, DACH & CEE
Ripple

SΓΆnke Steinert

Managing Partner
Swiss Treasury Partners

Peter Helming

VP, Treasury and Working Capital Management
Huf Group

Panel Discussion

Forecasting Quo Vadis

Sept 21, 2026 | 17:15–18:15 CETWallstreet

GΓΆkhan Nazenin, our Head of Commercials for DACH and CEE, will moderate a panel on the direction of treasury forecasting. He is joined by SΓΆnke Steinert, Managing Partner at Swiss Treasury Partners, and Peter Helming, VP Treasury and Working Capital Management at Huf Group.

Between them they bring the cross-company consultant view and the in-house perspective of a global automotive supplier, so the discussion covers both the pattern and the practice.

Expect a working discussion rather than a set of presentations: 45 minutes of debate, then 15 minutes of audience questions.