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Aviva Investors is a leading global asset manager with over USD 360 billion* in assets under management across a range of public and private market and multi-asset capabilities.  As the asset management business of Aviva plc, we draw on our insurance heritage and long history to deliver client outcomes through market cycles.

We understand that treasury teams face the challenge of both managing material cash and potential variability in cash balances. We aim to provide treasurers with cash management solutions designed to meet anticipated and unexpected cash flows requirements. With more than 40 years of experience in institutional cash and liquidity management, liquidity management is a key focus.

We believe liquidity means more than just cash and government bonds. By diversifying across liquidity sub-asset classes, we believe clients can optimise cash and liquid asset holdings through solutions focused on preserving capital, maintaining liquidity, and improving risk-adjusted returns.

*Data as at 30 June 2026