Paul Stheeman, Independent Treasury Consultant, STS – Stheeman Treasury Solutions
Paul Stheeman’s career began in banking where he worked in various roles, learning all about the banking system. He soon discovered an enthusiasm for the corporate side of banking and moved in 1982 to the oil and gas side of the business. Since then he covered all areas of treasury in Europe.
Now he helps private equity investors setting up corporate treasury functions in the course of M&A transactions
What Is On Paul’s Mind is:
- why cash management and cash flow forecasting are still fundamental in corporate treasury today
- the disciplins and technologies required to ensure that you solve this cornerstone of a corporate treasury department’s operations.
Cash forecasting and working capital management survey
Participate in survey and understand how to avoid “unpleasant financial surprises”
Cash forecasting: A data story
In the huge amount of available data, it’s important to distinguish internal from external data
Forecasting for everyone: see clearly, make better decisions
New approach to forecasting, planning and risk management from Crowd Data