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Corporate Treasury is a specialized field of corporate finance that focuses on managing a company's financial resources. It is responsible for managing cash flow, liquidity, and risk management. Corporate Treasury is also responsible for developing and executing strategies to optimize the company's financial performance. This includes managing investments, capital structure, and capital markets activities. Corporate Treasury also works closely with other departments, such as accounting, finance, and operations, to ensure that the company's financial goals are met. The Corporate Treasury market is highly competitive and involves a variety of players, including banks, financial institutions, and other financial services providers. These players provide a range of services, such as cash management, foreign exchange, and debt and equity financing. Some of the major players in the Corporate Treasury market include Bank of America, JPMorgan Chase, Citigroup, Goldman Sachs, Morgan Stanley, and UBS. Show Less Read more